基金代码 | 日期 | 单位净值(元) | 累计净值(元) |
---|---|---|---|
002448 | 2024-02-21 | 1.1912 | 1.2177 |
002448 | 2024-02-08 | 1.1896 | 1.2161 |
002448 | 2024-02-02 | 1.1886 | 1.2151 |
002448 | 2024-01-26 | 1.1866 | 1.2131 |
002448 | 2024-01-19 | 1.1854 | 1.2119 |
002448 | 2024-01-12 | 1.1839 | 1.2104 |
002448 | 2024-01-05 | 1.1819 | 1.2084 |
002448 | 2023-12-29 | 1.1807 | 1.2072 |
002448 | 2023-12-22 | 1.1774 | 1.2039 |
002448 | 2023-12-15 | 1.1767 | 1.2032 |