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基金排行

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基金代码▲基金简称每万份基金收益(元)七日年化收益率过去一月过去三月过去一年今年以来成立以来
000009易方达天天A0.53891.95%0.18%0.48%2.14%1.64%29.98%
000010易方达天天B0.60442.20%0.20%0.54%2.39%1.83%32.36%
000013易方达天天R0.60712.21%0.20%0.54%2.40%1.84%32.46%
000203国富日日A0.44941.98%0.18%0.47%1.96%1.52%24.55%
000204国富日日B0.51612.23%0.20%0.53%2.20%1.71%26.68%
000647易方达财富A0.54182.01%0.17%0.47%2.20%1.70%22.94%
000648易方达财富B0.60642.26%0.20%0.53%2.46%1.89%24.80%
000920易方达财富Y0.54102.01%0.18%0.47%2.21%1.70%20.90%
001812嘉实货币E0.54901.78%0.16%0.43%2.02%1.51%13.75%
002324南方日添益A0.55362.11%0.18%0.45%2.09%1.59%14.77%
002325南方日添益E0.58122.21%0.19%0.48%2.19%1.67%14.57%
002828南方现金E0.55472.02%0.18%0.47%1.99%1.50%13.28%
002829南方现金F0.55562.02%0.18%0.47%1.99%1.50%12.40%
003473南方天天利A0.55632.05%0.16%0.47%2.23%1.70%13.69%
007521南方日添益F0.55382.11%0.18%0.45%2.08%1.58%3.06%
020007国泰货币A0.57912.07%0.18%0.48%2.15%1.61%54.51%
020031国泰现金A0.65562.24%0.19%0.51%2.05%1.59%25.46%
020032国泰现金B0.72012.49%0.03%0.03%1.58%1.07%26.96%
070008嘉实货币A0.54671.77%0.16%0.43%2.01%1.51%64.61%
070028嘉实安心A0.47871.95%0.18%0.44%1.65%1.27%26.98%
070029嘉实安心B0.54422.19%0.19%0.50%1.90%1.46%29.70%
070088嘉实货币B0.61232.02%0.18%0.50%2.26%1.71%33.19%
110006易基货币A0.48531.87%0.18%0.46%1.87%1.42%58.76%
110016易基货币B0.55002.11%0.20%0.52%2.12%1.62%59.43%
121011国投瑞银货币A0.41541.62%0.18%0.42%1.95%1.48%41.55%
128011国投瑞银货币B0.48111.84%0.20%0.48%2.19%1.67%45.59%
202301南方现金A0.55462.02%0.18%0.47%1.99%1.50%68.15%
202302南方现金B0.62012.26%0.20%0.53%2.24%1.69%49.60%
202307南方收益宝A0.60962.30%0.19%0.52%2.20%1.67%29.66%
202308南方收益宝B0.67472.55%0.21%0.58%2.44%1.87%17.54%
511800易货币0.48451.86%0.18%0.46%1.87%1.42%17.30%