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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
001895宏利活期友货币B0.38302.6700%0.15%0.38%0.49%27.48%
021134宏利活期友货币E0.38262.6700%0.15%0.38%0.49%1.84%
001894宏利活期友货币A0.31712.4240%0.13%0.32%0.42%25.48%
019635汇添金货币D0.35772.3770%0.14%0.40%0.51%2.80%
004787渤海汇金汇添金货币B0.35772.3760%0.14%0.40%0.51%19.48%
019634汇添金货币C0.36032.3610%------0.07%
004568长城工资宝货币B0.40832.3100%0.13%0.39%0.50%22.27%
010051长城工资宝货币C0.40842.3100%0.13%0.39%0.50%9.65%
000301德邦德利货币B0.77272.1300%0.14%0.39%0.49%38.04%
392002中海货币B1.43842.1230%0.13%0.40%0.49%55.50%
004786渤海汇金汇添金货币A0.29202.1220%0.12%0.35%0.43%17.35%
000615长城工资宝货币A0.36102.1210%0.12%0.34%0.44%31.39%
017171长城工资宝货币D0.34872.0710%0.11%0.33%0.42%3.89%
010883中信保诚智惠金货币C0.43912.0600%0.15%0.43%0.55%9.35%
004286华富天盈货币B0.40771.9740%0.14%0.41%0.52%21.04%
018655光大保德信耀钱包货币C0.34221.9510%0.13%0.38%0.48%3.43%
003481光大保德信耀钱包货币B0.34171.9500%0.13%0.38%0.48%24.16%
020039东吴货币C0.43101.9260%0.16%0.44%0.58%2.87%
583101东吴货币B0.43091.9260%0.16%0.44%0.58%51.88%
005150红土创新优淳货币A0.11911.9220%0.15%0.43%0.51%20.49%
005151红土创新优淳货币B0.11891.9220%0.15%0.43%0.51%22.49%
005020中信保诚智惠金货币A0.40271.9200%0.14%0.40%0.51%18.24%
018614万家货币D0.43441.9200%0.15%0.44%0.56%3.81%
519507万家货币B0.43431.9200%0.15%0.44%0.56%40.36%
004078金信民发货币B0.36721.9040%0.14%0.40%0.50%22.50%
000300德邦德利货币A0.70651.8840%0.12%0.33%0.42%34.27%
392001中海货币A1.36761.8770%0.11%0.34%0.42%50.09%
000700宏利货币B0.44591.8430%0.15%0.44%0.55%36.59%
021133宏利货币E0.44591.8430%0.15%0.44%0.55%2.00%
018659德邦如意货币E0.52251.8400%0.14%0.38%0.49%3.75%
数据时间:2025-04-24
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