基金代码 | 日期 | 单位净值(元) | 累计净值(元) |
---|---|---|---|
002448 | 2025-08-22 | 1.2062 | 1.2327 |
002448 | 2025-08-15 | 1.2072 | 1.2337 |
002448 | 2025-08-08 | 1.212 | 1.2385 |
002448 | 2025-08-01 | 1.2115 | 1.238 |
002448 | 2025-07-25 | 1.2093 | 1.2358 |
002448 | 2025-07-18 | 1.2173 | 1.2438 |
002448 | 2025-07-11 | 1.2169 | 1.2434 |
002448 | 2025-07-04 | 1.219 | 1.2455 |
002448 | 2025-06-27 | 1.2184 | 1.2449 |
002448 | 2025-06-20 | 1.2193 | 1.2458 |