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货币型基金

基金代码 基金名称 每万份收益 7日年化收益率 近一个月 近三个月 今年以来 成立以来
005150红土创新优淳货币A5.45235.6440%0.16%0.35%0.35%21.96%
005151红土创新优淳货币B5.45155.6440%0.16%0.35%0.35%23.99%
004078金信民发货币B0.84912.2160%0.13%0.34%0.34%24.12%
004077金信民发货币A0.78881.9760%0.11%0.28%0.28%21.34%
018324金信民发货币E0.78331.9700%0.11%0.28%0.28%4.15%
210013金鹰货币B0.37351.8920%0.12%0.35%0.34%48.57%
003589东吴增鑫宝货币B0.34251.8570%0.12%0.34%0.33%25.00%
019771东吴增鑫宝货币C0.34231.8560%0.12%0.34%0.33%3.93%
003468富荣货币B0.49221.8220%0.13%0.36%0.35%25.08%
004167安信活期宝货币B0.35191.8060%0.13%0.35%0.35%27.10%
018780安信活期宝货币C0.35201.8060%0.13%0.35%0.35%4.95%
003538招商招利宝货币B0.34001.7800%0.11%0.33%0.33%25.51%
017899海富通货币D0.32001.7670%0.11%0.32%0.31%5.22%
519506海富通货币B0.32001.7670%0.11%0.32%0.31%78.89%
000846国联货币C0.37331.7520%0.12%0.35%0.34%36.06%
001233嘉合货币B0.51231.7230%0.14%0.34%0.33%33.65%
310339申万菱信收益宝货币B0.52121.6970%0.13%0.35%0.35%42.78%
004369前海开源聚财宝B0.38701.6910%0.12%0.35%0.35%26.07%
001234国金众赢货币0.84311.6800%0.12%0.34%0.34%33.29%
161623融通汇财宝货币B1.11481.6780%0.12%0.33%0.33%39.61%
003389招商招益宝货币B0.51081.6760%0.12%0.35%0.34%22.18%
010325申万菱信收益宝货币E0.51011.6560%0.13%0.34%0.34%10.92%
210012金鹰货币A0.30761.6470%0.10%0.29%0.29%43.92%
002234泰信天天收益货币B0.43091.6420%0.13%0.36%0.35%27.08%
007866创金合信货币C0.49481.6390%0.12%0.35%0.35%14.78%
023625创金合信货币F0.49481.6390%0.12%0.35%0.35%1.60%
005135长信长金通货币B0.41271.6370%0.12%0.36%0.35%21.44%
004399融通汇财宝货币E1.10241.6290%0.11%0.32%0.32%24.57%
018437易方达保证金货币D0.36501.6260%0.12%0.35%0.34%4.95%
000301德邦德利货币B0.73151.6240%0.14%0.39%0.38%40.03%
数据时间:2026-03-30
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