现金宝(1号)人民币理财计划参考收益率(2020年1-2月)

收益率:兴业银行现金宝(1号)人民币理财计划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)。

万份收益:每1万份兴业银行现金宝(1号)人民币理财计划产品当天的收益金额。

日期 收益率(年率) 万份收益
2020-02-28 2.6000% 0.7123
2020-02-27 2.6000% 0.7123
2020-02-26 2.6000% 0.7123
2020-02-25 2.6000% 0.7123
2020-02-24 2.6000% 0.7123
2020-02-23 2.6000% 0.7123
2020-02-22 2.6000% 0.7123
2020-02-21 2.6000% 0.7123
2020-02-20 2.6000% 0.7123
2020-02-19 2.6000% 0.7123
2020-02-18 2.6000% 0.7123
2020-02-17 2.6000% 0.7123
2020-02-16 2.6000% 0.7123
2020-02-15 2.6000% 0.7123
2020-02-14 2.6000% 0.7123
2020-02-13 2.6000% 0.7123
2020-02-12 2.7000% 0.7397
2020-02-11 2.7000% 0.7397
2020-02-10 2.7000% 0.7397
2020-02-09 2.7000% 0.7397
2020-02-08 2.7000% 0.7397
2020-02-07 2.7000% 0.7397
2020-02-06 2.7000% 0.7397
2020-02-05 2.7000% 0.7397
2020-02-04 2.7000% 0.7397
2020-02-03 2.7000% 0.7397
2020-02-02 2.7000% 0.7397
2020-02-01 2.7000% 0.7397
2020-01-31 2.7000% 0.7397
2020-01-30 2.7000% 0.7397
2020-01-29 2.7000% 0.7397
2020-01-28 2.7000% 0.7397
2020-01-27 2.7000% 0.7397
2020-01-26 2.7000% 0.7397
2020-01-25 2.7000% 0.7397
2020-01-24 2.7000% 0.7397
2020-01-23 2.7000% 0.7397
2020-01-22 2.7000% 0.7397
2020-01-21 2.7000% 0.7397
2020-01-20 2.7000% 0.7397
2020-01-19 2.7000% 0.7397
2020-01-18 2.7000% 0.7397
2020-01-17 2.7000% 0.7397
2020-01-16 2.7000% 0.7397
2020-01-15 2.7000% 0.7397
2020-01-14 2.7000% 0.7397
2020-01-13 2.7000% 0.7397
2020-01-12 2.7000% 0.7397
2020-01-11 2.7000% 0.7397
2020-01-10 2.7000% 0.7397
2020-01-09 2.7000% 0.7397
2020-01-08 2.7000% 0.7397
2020-01-07 2.7000% 0.7397
2020-01-06 2.7000% 0.7397
2020-01-05 2.7000% 0.7397
2020-01-04 2.7000% 0.7397
2020-01-03 2.7000% 0.7397
2020-01-02 2.7000% 0.7397
2020-01-01 2.7000% 0.7397