基金代码 | 日期 | 单位净值(元) | 累计净值(元) |
---|---|---|---|
002448 | 2022-05-17 | 1.118 | 1.1445 |
002448 | 2022-05-13 | 1.1172 | 1.1437 |
002448 | 2022-05-06 | 1.1154 | 1.1419 |
002448 | 2022-04-29 | 1.1146 | 1.1411 |
002448 | 2022-04-22 | 1.1136 | 1.1401 |
002448 | 2022-04-15 | 1.1131 | 1.1396 |
002448 | 2022-04-08 | 1.1116 | 1.1381 |
002448 | 2022-04-01 | 1.1099 | 1.1364 |
002448 | 2022-03-25 | 1.108 | 1.1345 |
002448 | 2022-03-18 | 1.1088 | 1.1353 |