省心宝人民币理财产品业绩公告发布日期:2024-09-20

省心宝人民币理财产品业绩公告发布日期:2024-09-20

省心宝人民币理财产品业绩公告发布日期:2024-09-20

估值日期 万份收益(元) 七日年化收益率 2024-09-190.49921.8206%2024-09-180.49411.817%2024-09-170.49321.8169%2024-09-160.49321.8181%2024-09-150.49331.8186%2024-09-140.49321.8177%2024-09-130.49411.8169%2024-09-120.49241.8176%2024-09-110.49381.8189%2024-09-100.49551.9815%2024-09-090.49421.9816%2024-09-080.49161.9867%2024-09-070.49161.99%2024-09-060.49541.9932%