基金代码 | 日期 | 单位净值(元) | 累计净值(元) |
---|---|---|---|
002448 | 2023-10-27 | 1.1686 | 1.1951 |
002448 | 2023-10-20 | 1.1667 | 1.1932 |
002448 | 2023-10-13 | 1.1676 | 1.1941 |
002448 | 2023-09-28 | 1.1674 | 1.1939 |
002448 | 2023-09-22 | 1.1662 | 1.1927 |
002448 | 2023-09-15 | 1.1657 | 1.1922 |
002448 | 2023-09-08 | 1.1651 | 1.1916 |
002448 | 2023-09-01 | 1.1668 | 1.1933 |
002448 | 2023-08-25 | 1.1674 | 1.1939 |
002448 | 2023-08-24 | 1.1677 | 1.1942 |