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货币型基金

基金代码 基金名称 2017-03-29 2017-03-28 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%
001233嘉合货币B----6.34767.58%2015-05-06--
001232嘉合货币A----6.28017.32%2015-05-06--
003264新华活期添利B----1.07066.11%2016-08-29--
001843九泰日添金货币B0.99956.07%1.05306.06%2015-12-08--
000902国开货币B1.06386.02%1.10095.96%2015-01-14--
000903新华活期添利A----1.00345.86%2014-12-04--
001842九泰日添金货币A0.93975.81%0.98595.81%2015-12-08--
000901国开货币A1.00025.77%1.03265.71%2015-01-14--
710502富安达现金通B4.21065.40%1.05555.58%2013-01-29张凯瑜
004373金鹰增益货币B1.38295.49%1.38195.53%2017-03-20张凯瑜
710501富安达现金通A4.14535.17%1.00005.34%2013-01-29张凯瑜
004372金鹰增益货币A1.33095.29%1.32995.33%2017-03-20张凯瑜
511770金鹰增益1.33095.29%1.32995.33%2017-03-20张凯瑜
000381景顺景益B----1.22435.02%2013-11-26RU PING
000380景顺景益A----1.16354.78%2013-11-26RU PING
511850财富宝E----1.39074.74%2016-06-30RU PING
675062西部利得天添富货币B----1.20734.72%2016-09-28RU PING
213909宝盈货币B2.42965.54%2.82884.69%2009-08-05陈若劲
002912兴业稳天盈货币1.19394.64%1.20484.68%2016-07-15陈若劲
003281广发活期宝B----1.33114.67%2016-09-02陈若劲
000495南方现金通C----1.58574.63%2014-01-21陈若劲
003753工银如意货币B----1.23904.62%2016-12-23陈若劲
003679中融现金增利货币C----1.26694.60%2016-11-22陈若劲
000476广发天天利B----1.26474.59%2014-01-27陈若劲
001478泰康薪意保B----1.33744.59%2015-06-19陈若劲
004201华夏财富宝B----1.06404.57%2016-12-27陈若劲
000494南方现金通B----1.58064.57%2014-01-21陈若劲
320019诺安货币B1.27054.60%0.79324.56%2012-02-21王玥晰
002546泰康薪意保E----1.32794.55%2016-04-29王玥晰
000860银华惠增利1.16814.51%1.17814.53%2014-11-14王玥晰
数据时间:2017-03-30 03:00:15

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