基金代码基金简称2024-12-022024-11-29近一个月近三个月近半年近一年今年以来成立以来万份收益7日年化万份收益7日年化
011413富国安益货币B0.47351.7730%0.50131.8130%0.15%0.46%0.93%2.07%1.86%8.85%
010288民生加银现金宝货币B0.50731.7700%0.51601.7630%0.14%0.40%0.84%1.93%1.73%9.47%
010173易方达增金宝货币B0.46181.7050%0.44991.7010%0.13%0.44%0.89%2.02%1.82%9.79%
011491南方薪金宝货币B0.44121.6850%0.53621.6730%0.14%0.43%0.88%2.00%1.81%7.82%
008733易方达易理财货币B0.44831.6610%0.45121.6590%0.14%0.43%0.87%1.96%1.77%11.40%
009586富国富钱包货币B0.42281.5980%0.42751.6450%0.14%0.42%0.85%1.92%1.73%9.99%
011258招商保证金快线D0.42661.5750%0.43281.8520%0.14%0.42%0.88%1.94%1.74%7.98%
007865东方红货币D0.42531.5620%0.42641.5590%0.13%0.40%0.85%1.88%1.69%9.74%
010208平安日增利货币B0.41251.5360%0.43831.6230%0.13%0.41%0.83%1.89%1.69%9.10%
009588汇添富现金宝货币B0.41391.5350%0.42251.5300%0.13%0.40%0.83%1.86%1.67%7.79%