收益率:兴业银行“现金宝1号”非保本浮动收益开放式人民币理财产品32001(北京专属)产品当天为理财客户实现的年化收益率(客户净收益率,已扣除银行管理费率)。
收益:每10万元兴业银行“现金宝1号”非保本浮动收益开放式人民币理财产品32001(北京专属)产品当天的收益金额。
日期 | 收益率(年率) | 收益 |
2019-08-26 | 3.6000% | 9.86 |
2019-08-25 | 3.6500% | 10.00 |
2019-08-24 | 3.6500% | 10.00 |
2019-08-23 | 3.6500% | 10.00 |
2019-08-22 | 3.6500% | 10.00 |
2019-08-21 | 3.6500% | 10.00 |
2019-08-20 | 3.6500% | 10.00 |
2019-08-19 | 3.6500% | 10.00 |
2019-08-18 | 3.6500% | 10.00 |
2019-08-17 | 3.6500% | 10.00 |
2019-08-16 | 3.6500% | 10.00 |
2019-08-15 | 3.6500% | 10.00 |
2019-08-14 | 3.6500% | 10.00 |
2019-08-13 | 3.6500% | 10.00 |
2019-08-12 | 3.6500% | 10.00 |
2019-08-11 | 3.6500% | 10.00 |
2019-08-10 | 3.6500% | 10.00 |
2019-08-09 | 3.6500% | 10.00 |
2019-08-08 | 3.6500% | 10.00 |
2019-08-07 | 3.6500% | 10.00 |
2019-08-06 | 3.6500% | 10.00 |
2019-08-05 | 3.6500% | 10.00 |
2019-08-04 | 3.6500% | 10.00 |
2019-08-03 | 3.6500% | 10.00 |
2019-08-02 | 3.6500% | 10.00 |
2019-08-01 | 3.6500% | 10.00 |
2019-07-31 | 3.6500% | 10.00 |
2019-07-30 | 3.6500% | 10.00 |
2019-07-29 | 3.6500% | 10.00 |
2019-07-28 | 3.6500% | 10.00 |
2019-07-27 | 3.6500% | 10.00 |
2019-07-26 | 3.6500% | 10.00 |
2019-07-25 | 3.6500% | 10.00 |
2019-07-24 | 3.6500% | 10.00 |
2019-07-23 | 3.6500% | 10.00 |
2019-07-22 | 3.6500% | 10.00 |
2019-07-21 | 3.6500% | 10.00 |
2019-07-20 | 3.6500% | 10.00 |
2019-07-19 | 3.6500% | 10.00 |
2019-07-18 | 3.6500% | 10.00 |
2019-07-17 | 3.6500% | 10.00 |
2019-07-16 | 3.6500% | 10.00 |
2019-07-15 | 3.6500% | 10.00 |
2019-07-14 | 3.6500% | 10.00 |
2019-07-13 | 3.6500% | 10.00 |
2019-07-12 | 3.6500% | 10.00 |
2019-07-11 | 3.6500% | 10.00 |
2019-07-10 | 3.6500% | 10.00 |
2019-07-09 | 3.6500% | 10.00 |
2019-07-08 | 3.6500% | 10.00 |
2019-07-07 | 3.6500% | 10.00 |
2019-07-06 | 3.6500% | 10.00 |
2019-07-05 | 3.6500% | 10.00 |
2019-07-04 | 3.6500% | 10.00 |
2019-07-03 | 3.6500% | 10.00 |
2019-07-02 | 3.6500% | 10.00 |
2019-07-01 | 3.6500% | 10.00 |