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基金超市

比较基金代码基金简称净值日期每万份基金收益(元)七日年化收益率过去一月过去三月过去一年成立以来
128011国投瑞银货币B2020-08-070.36632.64%0.15%0.49%2.32%45.03%
121011国投瑞银货币A2020-08-070.30722.40%0.12%0.43%2.07%41.07%
202308南方收益宝B2020-08-070.50762.09%0.15%0.47%2.50%16.98%
000013易方达天天R2020-08-070.52091.96%0.16%0.48%2.47%31.88%
000648易方达财富B2020-08-070.52341.96%0.16%0.51%2.55%24.27%
000010易方达天天B2020-08-070.51811.95%0.16%0.48%2.46%31.79%
202307南方收益宝A2020-08-070.44191.84%0.13%0.42%2.26%29.10%
070088嘉实货币B2020-08-090.44571.83%0.14%0.42%2.36%32.67%
202302南方现金B2020-08-070.48171.80%0.15%0.44%2.29%48.95%
003473南方天天利A2020-08-070.47941.78%0.15%0.44%2.34%13.25%
110016易基货币B2020-08-070.53791.77%0.15%0.44%2.19%58.75%
000920易方达财富Y2020-08-070.45771.72%0.14%0.45%2.30%20.44%
070029嘉实安心B2020-08-090.47771.71%0.13%0.36%1.89%29.18%
020007国泰货币A2020-08-080.45901.70%0.14%0.40%2.28%53.92%
000647易方达财富A2020-08-090.45771.70%0.14%0.45%2.30%22.48%
000009易方达天天A2020-08-090.46261.69%0.14%0.42%2.21%29.49%
020031国泰现金A2020-08-080.44751.63%0.14%0.38%2.09%24.94%
070008嘉实货币A2020-08-090.38021.59%0.12%0.36%2.12%64.04%
001812嘉实货币E2020-08-090.38011.59%0.12%0.36%2.12%13.36%
002829南方现金F2020-08-070.41501.56%0.13%0.38%2.04%11.97%