理财超市理财超市

理财超市

净值日期 万份收益
2024-09-15 0.449600
2024-09-14 0.454600
2024-09-13 0.453600
2024-09-12 0.457800
2024-09-11 0.451100
2024-09-10 0.457400
2024-09-09 0.452300
2024-09-08 0.455700
2024-09-07 0.450600
2024-09-06 0.453800
2024-09-05 0.457600
2024-09-04 0.451600
2024-09-03 0.450900
2024-09-02 0.457100
2024-09-01 0.450000