基金代码 | 日期 | 单位净值(元) | 累计净值(元) |
---|---|---|---|
002448 | 2021-11-22 | 1.0962 | 1.1227 |
002448 | 2021-11-19 | 1.0959 | 1.1224 |
002448 | 2021-11-18 | 1.0957 | 1.1222 |
002448 | 2021-11-17 | 1.0956 | 1.1221 |
002448 | 2021-11-12 | 1.0948 | 1.1213 |
002448 | 2021-11-05 | 1.0939 | 1.1204 |
002448 | 2021-10-29 | 1.0922 | 1.1187 |
002448 | 2021-10-22 | 1.0907 | 1.1172 |
002448 | 2021-10-15 | 1.0899 | 1.1164 |
002448 | 2021-10-08 | 1.0896 | 1.1161 |