序号 | 日期 | 每万份基金单位收益 | 七日年化收益率(%) |
1 | 2025-09-03 | 0.2460 | 0.8290 |
2 | 2025-09-02 | 0.2509 | 0.7890 |
3 | 2025-09-01 | 0.2485 | 0.7230 |
4 | 2025-08-31 | 0.2016 | 0.7150 |
5 | 2025-08-30 | 0.2016 | 0.7110 |
6 | 2025-08-29 | 0.2165 | 0.7060 |
7 | 2025-08-28 | 0.2244 | 0.6840 |
8 | 2025-08-27 | 0.1695 | 0.6380 |
9 | 2025-08-26 | 0.1195 | 0.6470 |
10 | 2025-08-25 | 0.2339 | 0.8570 |