基金代码 | 日期 | 单位净值(元) | 累计净值(元) |
---|---|---|---|
002448 | 2022-08-22 | 1.1371 | 1.1636 |
002448 | 2022-08-19 | 1.1368 | 1.1633 |
002448 | 2022-08-18 | 1.1365 | 1.163 |
002448 | 2022-08-17 | 1.1362 | 1.1627 |
002448 | 2022-08-12 | 1.1337 | 1.1602 |
002448 | 2022-08-05 | 1.1336 | 1.1601 |
002448 | 2022-07-29 | 1.1309 | 1.1574 |
002448 | 2022-07-22 | 1.1287 | 1.1552 |
002448 | 2022-07-15 | 1.1268 | 1.1533 |
002448 | 2022-07-08 | 1.1238 | 1.1503 |