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货币型基金

基金代码 基金名称 2017-07-20 2017-07-19 成立日期 基金经理
万份单位收益 7日年化收益率% 万份单位收益 7日年化收益率%
001895泰达宏利活期友货币B0.99067.32%1.00877.29%2015-11-04--
001894泰达宏利活期友货币A0.94617.10%0.96347.06%2015-11-04--
002706民生加银现金添利----1.10956.28%2016-06-22--
003871华泰柏瑞天添宝货币B1.15254.42%1.19615.56%2016-11-23--
002884华润元大现金通货币B1.12895.58%1.20325.56%2016-07-27--
002883华润元大现金通货币A1.09255.44%1.16865.41%2016-07-27--
003246华泰柏瑞天添宝货币A1.08954.17%1.13135.31%2016-09-22--
004398融通现金宝货币B1.12455.09%1.16165.12%2017-02-24--
004152先锋日添利B1.02134.68%2.62445.07%2017-04-14--
000621易方达现金增利B1.34824.95%1.23325.01%2015-02-05--
001821兴全天添益货币B1.02344.98%1.02354.97%2015-11-05--
001233嘉合货币B1.02464.23%1.22794.95%2015-05-06--
002733上银慧盈利货币1.04914.90%1.04744.92%2016-05-17--
002788融通现金宝货币A1.07494.86%1.10124.88%2016-11-10--
004282博时兴荣货币1.30044.87%1.30474.87%2017-02-24--
003538招商招利宝货币B1.30014.86%1.30334.87%2017-04-17--
004137博时合惠货币B1.44564.94%1.26764.86%2017-01-13--
004700前海联合汇盈货币B1.29774.85%1.29554.85%2017-05-25--
003679中融现金增利货币C1.27674.83%1.27524.84%2016-11-22--
004151先锋日添利A0.95574.44%2.56394.83%2017-04-14--
002758建信现金增利货币1.23464.80%1.36074.82%2016-07-26--
000874华安现金宝货币B1.25444.80%1.22324.81%2017-03-10--
003423国寿安保添利货币B1.28124.79%1.27894.79%2016-12-27--
001992农银天天利B0.90784.88%1.31224.78%2015-12-21--
003281广发活期宝B1.28444.78%1.26994.77%2016-09-02--
003474南方天天利B1.23174.73%1.23014.77%2016-10-20--
000620易方达现金增利A1.28174.70%1.16574.75%2015-02-05--
003753工银如意货币B1.23164.73%1.24014.75%2016-12-23--
004841博时合惠货币A1.40304.80%1.22714.74%2017-06-26--
003264新华活期添利B1.21244.60%1.21814.72%2016-08-29--
数据时间:2017-07-24 10:34:40

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