设为首页 加入收藏
基金档案主页
基金数据
基金资讯
实用功能
主力数据
基金吧
查询基金净值
国泰货币基金详情
国泰货币基金(020007)历史净值
基金代码 起始日 终止日

截至日期 万份单位收益 7日年平均收益率
2008-7-4 0.5432 3.0640%
2008-7-3 0.6552 2.9350%
2008-7-2 2.9950 2.8480%
2008-7-1 0.3239 1.5390%
2008-6-30 0.6261 1.5830%
2008-6-27 0.3029 1.9490%
2008-6-26 0.4825 2.0280%
2008-6-25 0.4830 2.1210%
2008-6-24 0.4091 2.2440%
2008-6-23 0.6083 2.3570%
2008-6-20 0.6479 1.9700%
2008-6-19 0.6606 1.9040%
2008-6-18 0.7186 1.8560%
2008-6-17 0.6249 1.8120%
2008-6-16 0.2549 1.7920%
2008-6-13 0.5217 2.3490%
2008-6-12 0.5691 2.3810%
2008-6-11 0.6345 2.4620%
2008-6-10 0.5851 2.5130%
2008-6-6 0.5834 2.5300%
2008-6-5 0.7243 2.5910%
2008-6-4 0.7321 2.5730%
2008-6-3 0.7075 2.5600%
2008-6-2 0.7047 2.5200%
2008-5-30 0.7004 2.5390%
2008-5-29 0.6900 2.5400%
2008-5-28 ---元 ---
2008-5-27 0.6306 2.5390%
2008-5-26 0.7112 2.5930%
2008-5-23 0.7034 2.6060%
2008-5-22 0.6751 2.6160%
2008-5-21 0.7194 2.6440%
2008-5-20 0.7342 2.6430%
2008-5-19 0.7220 2.6210%
2008-5-16 0.7228 2.6420%
2008-5-15 0.7277 2.6500%
2008-5-14 0.7180 2.6490%
2008-5-13 0.6925 2.6550%
2008-5-12 0.7358 2.6740%
2008-5-9 0.7376 2.5410%
2008-5-8 0.7263 2.4960%
2008-5-7 0.7298 2.4560%
2008-5-6 0.7290 2.4150%
2008-5-5 0.6502 2.3750%
2008-4-30 0.6514 2.2460%
2008-4-29 0.6524 2.2340%
2008-4-28 0.6270 2.1880%
2008-4-25 0.5984 2.3190%
2008-4-24 0.5409 3.3980%
2008-4-23 0.6290 2.4590%
2008-4-22 0.5636 2.5440%
2008-4-21 ---元 ---
2008-4-18 0.7494 2.8180%
2008-4-17 0.6590 2.7920%
2008-4-16 0.7904 2.8320%
2008-4-15 0.8169 2.8240%
2008-4-14 0.7932 2.8110%
2008-4-11 0.7000 2.6980%
2008-4-10 0.7366 2.6890%
2008-4-9 0.7739 2.6370%


将天天基金网设为上网首页吗?      将天天基金网添加到收藏夹吗?

免责声明    关于我们    征稿启事    广告服务    联系我们    友情链接    服务条款    法律声明    意见与建议

 网络实名:东方财富网    通用网址:东方财富网    建议及投诉热线:021-51703036
 
[沪ICP证:沪B2-20070217] 版权所有: 东方财富网