基金代码基金简称每万份基金
单位收益(元)最近七日收益所折算
的年资产收益率%091005大成货币基金B1.62112.284090005大成货币基金A1.55462.037519508万家货币0.64191.885003003华夏现金增利0.56032.173180009银华货币市场B0.5
2662.044290001泰信天天收益0.48331.877202301南方现金增利0.47782.197180008银华货币市场A0.45841.8100025富国天时货币0.45721.641530002建信货币0.45261.683110006易方达货币0.4431.865070008嘉实货币0.43722.092240007华宝现金宝B0.43152.042050003博时现金收益0.42931.956200003长城货币基金0.42711.857360003光大保德信货币0.40052.015519588交银货币0.39991.962288101中信现金优势基金0.39791.81519999长信利息收益0.39461.879160606鹏华货币0.39361.791320002诺安货币0.39151.927260102景货币基金0.38691.785482002工银货币0.38631.926040003华安现金富利0.38622.042240006华宝现金宝A0.36581.79737001b上投摩根货币基金B0.36491.639217004招商现金增值0.34911.907163802中银货币0.33811.883519505海富通货币0.33712.056080011长盛货币0.33621.972340005兴业货币0.32511.69537001a上投摩根货币基金A0.30051.399150005银河银富0.29471.831270004广发货币0.29291.626162206荷银货币0.26881.952161608融通货币0.22921.849519518汇添富货币0.22481.816410002华富货币0.15230.946020007国泰货币0.07671.816370011上投摩根货币基金B未公布未公布350004天治天得利未公布未公布310338申万巴黎收益宝未公布未公布560001益民货币未公布未公布
代小杰/制表
|