日期 | 每万份基金单位收益 | 7日年化收益率 |
---|---|---|
2021-01-25 | 0.6918 | 2.57% |
2021-01-24 | 0.6911 | 2.55% |
2021-01-23 | 0.6911 | 2.53% |
2021-01-22 | 0.6896 | 2.52% |
2021-01-21 | 0.6877 | 2.51% |
2021-01-20 | 0.7678 | 2.52% |
2021-01-19 | 0.6482 | 2.55% |
2021-01-18 | 0.6510 | 2.57% |
2021-01-17 | 0.6644 | 2.60% |
2021-01-16 | 0.6644 | 2.63% |
2021-01-15 | 0.6647 | 2.65% |
2021-01-14 | 0.7123 | 2.68% |
2021-01-13 | 0.8202 | 2.68% |
2021-01-12 | 0.6827 | 2.66% |
2021-01-11 | 0.7087 | 2.72% |
2021-01-10 | 0.7165 | 2.73% |
2021-01-09 | 0.7164 | 2.74% |
2021-01-08 | 0.7100 | 2.76% |
2021-01-07 | 0.7230 | 2.77% |
2021-01-06 | 0.7691 | 2.78% |
2021-01-05 | 0.8009 | 2.80% |
2021-01-04 | 0.7367 | 2.80% |
2021-01-03 | 0.7362 | 2.84% |
2021-01-02 | 0.7362 | 2.87% |
2021-01-01 | 0.7361 | 2.91% |
2020-12-31 | 0.7352 | 2.95% |
2020-12-30 | 0.8213 | 2.99% |
2020-12-29 | 0.7962 | 2.98% |
2020-12-28 | 0.8103 | 2.97% |
2020-12-27 | 0.7963 | 2.93% |
2020-12-26 | 0.8080 | 2.89% |
2020-12-25 | 0.8080 | 2.85% |
2020-12-24 | 0.8136 | 2.80% |
2020-12-23 | 0.8008 | 2.75% |
2020-12-22 | 0.7680 | 2.73% |
2020-12-21 | 0.7518 | 2.71% |
2020-12-20 | 0.7186 | 2.69% |
2020-12-19 | 0.7186 | 2.69% |
2020-12-18 | 0.7199 | 2.68% |
2020-12-17 | 0.7296 | 2.68% |
2020-12-16 | 0.7607 | 2.68% |
2020-12-15 | 0.7213 | 2.67% |
2020-12-14 | 0.7151 | 2.67% |
2020-12-13 | 0.7156 | 2.66% |
2020-12-12 | 0.7156 | 2.65% |
2020-12-11 | 0.7155 | 2.65% |
2020-12-10 | 0.7328 | 2.65% |
2020-12-09 | 0.7402 | 2.64% |
2020-12-08 | 0.7104 | 2.63% |
2020-12-07 | 0.6953 | 2.63% |
2020-12-06 | 0.7113 | 2.62% |
2020-12-05 | 0.7113 | 2.60% |