基金经理:刘谢冰
| 七日年化收益率:0.00% | 每万份收益:0.000 | 年化标准差:0.00018 | 截止日期:2026/4/15 | ||
|---|---|---|---|---|---|
| 最新规模:1.97亿元 | 风险等级:低风险 | 申购状态:可申购 | 赎回状态:可赎回 |
大成添利宝货币A(000724)历史净值 |
|||
|---|---|---|---|
| 日期 | 七日年化收益率 | 万份收益 | |
| 2026/4/15 | 1.125 | 0.3177 | |
| 2026/4/14 | 1.12 | 0.3006 | |
| 2026/4/13 | 1.127 | 0.3019 | |
| 2026/4/12 | 1.13 | 0.3034 | |
| 2026/4/11 | 1.132 | 0.3034 | |
| 2026/4/10 | 1.135 | 0.3211 | |
| 2026/4/9 | 1.131 | 0.2981 | |
| 2026/4/8 | 1.136 | 0.3069 | |
| 2026/4/7 | 1.135 | 0.3138 | |
| 2026/4/6 | 1.133 | 0.3079 | |
| 2026/4/5 | 1.137 | 0.3079 | |
| 2026/4/4 | 1.141 | 0.3079 | |
| 2026/4/3 | 1.146 | 0.3135 | |
| 2026/4/2 | 1.155 | 0.3079 | |
| 2026/4/1 | 1.158 | 0.3058 | |
| 2026/3/31 | 1.197 | 0.3098 | |
| 2026/3/30 | 1.208 | 0.3149 | |
| 2026/3/29 | 1.242 | 0.6325 | |