基金代码 | 日期 | 单位净值(元) | 累计净值(元) |
---|---|---|---|
002448 | 2021-08-17 | 1.0847 | 1.1112 |
002448 | 2021-08-13 | 1.0841 | 1.1106 |
002448 | 2021-08-06 | 1.0834 | 1.1099 |
002448 | 2021-07-30 | 1.082 | 1.1085 |
002448 | 2021-07-23 | 1.0809 | 1.1074 |
002448 | 2021-07-16 | 1.079 | 1.1055 |
002448 | 2021-07-09 | 1.0771 | 1.1036 |
002448 | 2021-07-02 | 1.075 | 1.1015 |
002448 | 2021-06-25 | 1.0739 | 1.1004 |
002448 | 2021-06-18 | 1.0725 | 1.099 |