基金代码 | 日期 | 单位净值(元) | 累计净值(元) |
---|---|---|---|
002448 | 2021-09-30 | 1.0889 | 1.1154 |
002448 | 2021-09-24 | 1.0883 | 1.1148 |
002448 | 2021-09-17 | 1.0873 | 1.1138 |
002448 | 2021-09-10 | 1.087 | 1.1135 |
002448 | 2021-09-03 | 1.0869 | 1.1134 |
002448 | 2021-08-27 | 1.0859 | 1.1124 |
002448 | 2021-08-23 | 1.0856 | 1.1121 |
002448 | 2021-08-20 | 1.0854 | 1.1119 |
002448 | 2021-08-19 | 1.0853 | 1.1118 |
002448 | 2021-08-18 | 1.0852 | 1.1117 |