基金代码 | 日期 | 单位净值(元) | 累计净值(元) |
---|---|---|---|
002448 | 2022-07-01 | 1.1235 | 1.15 |
002448 | 2022-06-24 | 1.123 | 1.1495 |
002448 | 2022-06-17 | 1.1218 | 1.1483 |
002448 | 2022-06-10 | 1.1206 | 1.1471 |
002448 | 2022-06-02 | 1.1203 | 1.1468 |
002448 | 2022-05-27 | 1.1208 | 1.1473 |
002448 | 2022-05-23 | 1.1195 | 1.146 |
002448 | 2022-05-20 | 1.119 | 1.1455 |
002448 | 2022-05-19 | 1.1189 | 1.1454 |
002448 | 2022-05-18 | 1.1185 | 1.145 |