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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
017570中邮现金驿站货币E0.22241.9980%0.10%0.28%0.85%2.97%
017899海富通货币D0.34081.7550%0.11%0.34%1.07%4.52%
519506海富通货币B0.34031.7550%0.11%0.34%1.07%77.70%
010005鹏扬现金通利货币E0.35711.7490%0.12%0.36%1.10%6.65%
017203中信保诚薪金宝货币E0.59991.7160%0.12%0.34%1.06%4.89%
010883中信保诚智惠金货币C0.36091.6900%0.13%0.37%1.18%10.04%
020201中银证券现金管家货币E0.36391.6460%0.12%0.36%1.07%1.91%
019967工银如意货币C0.36331.6220%0.12%0.36%1.09%3.46%
020945工银如意货币D0.36331.6220%0.12%0.36%1.09%2.46%
018659德邦如意货币E0.90991.6050%0.12%0.37%1.09%4.38%
091005大成货币B0.35411.5870%0.12%0.36%1.15%79.19%
288201华夏货币B0.39161.5460%0.12%0.37%1.20%46.40%
020097中加货币E0.30671.5400%0.11%0.34%1.07%3.19%
024984中信保诚智惠金货币D0.32651.5230%0.11%--0.20%0.20%
519505海富通货币A0.28251.5190%0.09%0.28%0.90%75.74%
011413富国安益货币B0.38671.5150%0.12%0.38%1.17%10.30%
011754鹏扬现金通利货币D0.29241.5070%0.10%0.30%0.93%7.33%
016430华夏快线货币B0.52951.5040%0.12%0.36%1.11%6.11%
016778长城收益宝货币C0.40131.5040%0.13%0.40%1.21%6.33%
022048中银证券现金管家货币D0.32561.5040%0.11%0.33%0.97%1.49%
019675广发货币D0.45491.5020%0.12%0.37%1.17%3.63%
270014广发货币B0.45481.5020%0.12%0.37%1.17%65.22%
511700场内货币ETF48.62001.5010%0.12%0.38%1.17%26.66%
015379国泰瞬利货币D0.42781.4980%0.13%0.38%1.20%6.87%
511620货币基金ETF42.78001.4980%0.13%0.38%1.20%12.92%
166015中欧货币B0.34841.4970%0.12%0.36%1.11%44.60%
024525鑫元安鑫宝D0.38921.4930%0.12%0.37%--0.37%
020039东吴货币C0.35141.4860%0.12%0.37%1.18%3.49%
583101东吴货币B0.35151.4860%0.12%0.37%1.18%52.79%
024897平安日鑫D0.48011.4800%0.12%--0.26%0.26%
数据时间:2025-09-18
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