基金代码 | 日期 | 单位净值(元) | 累计净值(元) |
---|---|---|---|
002448 | 2021-02-23 | 1.0558 | 1.0823 |
002448 | 2021-02-22 | 1.0557 | 1.0822 |
002448 | 2021-02-19 | 1.0554 | 1.0819 |
002448 | 2021-02-18 | 1.0555 | 1.082 |
002448 | 2021-02-10 | 1.0549 | 1.0814 |
002448 | 2021-02-05 | 1.0542 | 1.0807 |
002448 | 2021-01-29 | 1.054 | 1.0805 |
002448 | 2021-01-22 | 1.0553 | 1.0818 |
002448 | 2021-01-15 | 1.0548 | 1.0813 |
002448 | 2021-01-08 | 1.0538 | 1.0803 |