理财超市理财超市

理财超市

净值日期 万份收益
2025-01-12 0.425000
2025-01-11 0.423200
2025-01-10 0.432200
2025-01-09 0.422400
2025-01-08 0.424100
2025-01-07 0.419700
2025-01-06 0.417700
2025-01-05 0.429500
2025-01-04 0.432400
2025-01-03 0.433500
2025-01-02 0.439900
2025-01-01 0.442100
2024-12-31 0.570900
2024-12-30 0.464000
2024-12-29 0.469200