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货币型基金

基金代码 基金名称 2017-08-15 2017-08-14 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%
004770海富通添益货币A0.27955.50%2.652910.17%2017-08-14--
001991农银天天利A----0.86014.87%2015-12-21--
004282博时兴荣货币1.28664.84%1.29554.85%2017-02-24--
004137博时合惠货币B1.24004.78%1.24894.79%2017-01-13--
002234泰信天天B0.92734.71%1.01194.76%2016-05-17--
003281广发活期宝B1.26714.75%1.27434.76%2016-09-02--
000709华安汇财通1.04824.70%2.33454.73%2014-07-17--
003679中融现金增利货币C1.26194.72%1.26754.72%2016-11-22--
002299招商招福宝货币B1.25314.69%1.25254.70%2017-06-13--
000874华安现金宝货币B1.24084.69%1.24104.69%2017-03-10--
003423国寿安保添利货币B1.20924.66%1.26064.69%2016-12-27--
002183广发天天红B0.98794.68%1.99274.68%2015-12-15--
000621易方达现金增利B1.36814.77%1.34674.65%2015-02-05--
003712泰达宏利京元宝货币B1.23044.60%1.23244.61%2016-11-23--
004545永赢天天利货币1.26024.60%1.26064.61%2017-04-20--
004841博时合惠货币A1.19344.59%1.19834.59%2017-06-26--
003753工银如意货币B1.18184.54%1.17394.59%2016-12-23--
002758建信现金增利货币1.20674.58%1.21264.59%2016-07-26--
001101银华惠添益货币0.80124.54%3.52704.59%2016-07-21--
004060博时兴盛货币----1.22934.59%2016-12-21--
000759平安财富宝1.36784.65%1.31854.57%2014-08-21--
000748广发活期宝A----1.22364.56%2014-08-28--
000836国投钱多宝A1.22224.56%1.22354.56%2014-10-17--
000837国投钱多宝I1.22224.56%1.22354.56%2014-10-17--
003515国泰利是宝货币0.92234.53%1.46034.55%2016-12-22--
003264新华活期添利B1.17054.53%1.21154.54%2016-08-29--
002248新疆前海联合海盈货币B1.13404.44%1.12844.54%2015-12-24--
000645华夏薪金宝1.04994.57%1.42424.54%2014-05-26--
000716工银薪金B1.06324.24%1.46354.54%2014-07-03--
002201大成慧成B0.98154.40%1.14274.53%2016-02-03--
数据时间:2017-09-06 05:09:16

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