基金代码 | 日期 | 单位净值(元) | 累计净值(元) |
---|---|---|---|
002448 | 2025-09-26 | 1.2097 | 1.2362 |
002448 | 2025-09-19 | 1.2 | 1.2265 |
002448 | 2025-09-12 | 1.2085 | 1.235 |
002448 | 2025-09-05 | 1.2077 | 1.2342 |
002448 | 2025-09-04 | 1.207 | 1.2335 |
002448 | 2025-08-29 | 1.2061 | 1.2326 |
002448 | 2025-08-28 | 1.2063 | 1.2328 |
002448 | 2025-08-27 | 1.2071 | 1.2336 |
002448 | 2025-08-26 | 1.208 | 1.2345 |
002448 | 2025-08-25 | 1.2076 | 1.2341 |