日期 | 每万份基金单位收益 | 7日年化收益率 |
---|---|---|
2021-03-04 | 0.6186 | 2.63% |
2021-03-03 | 0.6267 | 2.64% |
2021-03-02 | 0.6771 | 2.65% |
2021-03-01 | 0.8273 | 2.63% |
2021-02-28 | 0.6365 | 2.54% |
2021-02-27 | 0.6377 | 2.54% |
2021-02-26 | 0.9464 | 2.54% |
2021-02-25 | 0.6541 | 2.39% |
2021-02-24 | 0.6387 | 2.38% |
2021-02-23 | 0.6284 | 2.39% |
2021-02-22 | 0.6620 | 2.41% |
2021-02-21 | 0.6394 | 2.41% |
2021-02-20 | 0.6394 | 2.42% |
2021-02-19 | 0.6630 | 2.44% |
2021-02-18 | 0.6315 | 2.44% |
2021-02-17 | 0.6645 | 2.46% |
2021-02-16 | 0.6645 | 2.49% |
2021-02-15 | 0.6646 | 2.60% |
2021-02-14 | 0.6646 | 2.64% |
2021-02-13 | 0.6646 | 2.71% |
2021-02-12 | 0.6646 | 2.72% |
2021-02-11 | 0.6647 | 2.85% |
2021-02-10 | 0.7246 | 2.98% |
2021-02-09 | 0.8673 | 3.05% |
2021-02-08 | 0.7492 | 2.94% |
2021-02-07 | 0.8000 | 3.11% |
2021-02-06 | 0.6724 | 3.00% |
2021-02-05 | 0.9112 | 2.96% |
2021-02-04 | 0.9150 | 2.89% |
2021-02-03 | 0.8392 | 2.68% |
2021-02-02 | 0.6687 | 2.55% |
2021-02-01 | 1.0605 | 2.63% |
2021-01-31 | 0.6016 | 2.64% |
2021-01-30 | 0.6016 | 2.66% |
2021-01-29 | 0.7686 | 2.68% |
2021-01-28 | 0.5228 | 2.65% |
2021-01-27 | 0.6061 | 2.75% |
2021-01-26 | 0.8167 | 2.81% |
2021-01-25 | 1.0829 | 2.89% |
2021-01-24 | 0.6413 | 2.64% |
2021-01-23 | 0.6418 | 2.64% |
2021-01-22 | 0.7071 | 2.63% |
2021-01-21 | 0.7058 | 2.68% |
2021-01-20 | 0.7200 | 2.67% |
2021-01-19 | 0.9664 | 2.61% |
2021-01-18 | 0.6221 | 2.44% |
2021-01-17 | 0.6248 | 2.59% |
2021-01-16 | 0.6248 | 2.60% |
2021-01-15 | 0.8114 | 2.60% |
2021-01-14 | 0.6796 | 2.62% |
2021-01-13 | 0.6190 | 2.65% |
2021-01-12 | 0.6422 | 2.68% |
2021-01-11 | 0.9006 | 2.71% |