基金代码 | 日期 | 万份单位收益(元) | 7日年化收益率(%) |
---|---|---|---|
004185 | 2025-01-24 | 0.38 | 1.276 |
004185 | 2025-01-23 | 0.3008 | 1.288 |
004185 | 2025-01-22 | 0.3022 | 1.346 |
004185 | 2025-01-21 | 0.3011 | 1.439 |
004185 | 2025-01-20 | 0.3474 | 1.43 |
004185 | 2025-01-19 | 0.8005 | 1.398 |
004185 | 2025-01-17 | 0.402 | 1.249 |
004185 | 2025-01-16 | 0.4109 | 1.174 |
004185 | 2025-01-15 | 0.4792 | 1.623 |
004185 | 2025-01-14 | 0.2834 | 1.574 |