日期 | 每万份基金单位收益 | 7日年化收益率 |
---|---|---|
2021-01-15 | 0.5930 | 2.21% |
2021-01-14 | 0.5943 | 2.21% |
2021-01-13 | 0.5976 | 2.21% |
2021-01-12 | 0.6017 | 2.23% |
2021-01-11 | 0.5923 | 2.26% |
2021-01-10 | 1.2054 | 2.32% |
2021-01-08 | 0.6026 | 2.42% |
2021-01-07 | 0.5918 | 2.47% |
2021-01-06 | 0.6290 | 2.53% |
2021-01-05 | 0.6689 | 2.56% |
2021-01-04 | 0.6924 | 2.56% |
2021-01-03 | 2.0991 | 2.54% |
2020-12-31 | 0.6981 | 2.47% |
2020-12-30 | 0.6969 | 2.42% |
2020-12-29 | 0.6689 | 2.37% |
2020-12-28 | 0.6549 | 2.31% |
2020-12-27 | 1.3081 | 2.29% |
2020-12-25 | 0.6446 | 2.25% |
2020-12-24 | 0.6038 | 2.24% |
2020-12-23 | 0.6033 | 2.24% |
2020-12-22 | 0.5666 | 2.24% |
2020-12-21 | 0.6124 | 2.26% |
2020-12-20 | 1.2401 | 2.26% |
2020-12-18 | 0.6200 | 2.25% |
2020-12-17 | 0.6138 | 2.24% |
2020-12-16 | 0.5872 | 2.24% |
2020-12-15 | 0.6148 | 2.25% |
2020-12-14 | 0.6162 | 2.24% |
2020-12-13 | 1.2169 | 2.23% |
2020-12-11 | 0.6081 | 2.23% |
2020-12-10 | 0.5998 | 2.23% |
2020-12-09 | 0.6063 | 2.24% |
2020-12-08 | 0.6047 | 2.23% |
2020-12-07 | 0.5944 | 2.25% |
2020-12-06 | 1.2183 | 2.28% |
2020-12-04 | 0.6084 | 2.30% |
2020-12-03 | 0.6082 | 2.30% |
2020-12-02 | 0.6011 | 2.31% |
2020-12-01 | 0.6355 | 2.32% |
2020-11-30 | 0.6475 | 2.30% |
2020-11-29 | 1.2506 | 2.27% |
2020-11-27 | 0.6251 | 2.23% |
2020-11-26 | 0.6215 | 2.21% |
2020-11-25 | 0.6179 | 2.21% |
2020-11-24 | 0.5928 | 2.22% |
2020-11-23 | 0.5878 | 2.25% |
2020-11-22 | 1.1858 | 2.27% |
2020-11-20 | 0.5920 | 2.31% |
2020-11-19 | 0.6121 | 2.32% |
2020-11-18 | 0.6422 | 2.31% |
2020-11-17 | 0.6406 | 2.28% |
2020-11-16 | 0.6404 | 2.24% |
2020-11-15 | 1.2438 | 2.19% |
2020-11-13 | 0.6222 | 2.13% |
2020-11-12 | 0.5949 | 2.11% |
2020-11-11 | 0.5792 | 2.09% |
2020-11-10 | 0.5709 | 2.09% |
2020-11-09 | 0.5429 | 2.10% |
2020-11-08 | 1.1382 | 2.14% |
2020-11-06 | 0.5719 | 2.24% |