基金代码 | 日期 | 单位净值(元) | 累计净值(元) |
---|---|---|---|
002448 | 2022-12-09 | 1.137 | 1.1635 |
002448 | 2022-12-02 | 1.139 | 1.1655 |
002448 | 2022-11-25 | 1.1407 | 1.1672 |
002448 | 2022-11-23 | 1.1398 | 1.1663 |
002448 | 2022-11-22 | 1.1394 | 1.1659 |
002448 | 2022-11-21 | 1.1391 | 1.1656 |
002448 | 2022-11-18 | 1.1387 | 1.1652 |
002448 | 2022-11-17 | 1.139 | 1.1655 |
002448 | 2022-11-11 | 1.1435 | 1.17 |
002448 | 2022-11-04 | 1.1445 | 1.171 |