基金代码 | 日期 | 单位净值(元) | 累计净值(元) |
---|---|---|---|
002448 | 2020-10-09 | 1.0427 | 1.0692 |
002448 | 2020-09-30 | 1.042 | 1.0685 |
002448 | 2020-09-25 | 1.0405 | 1.067 |
002448 | 2020-09-18 | 1.0428 | 1.0693 |
002448 | 2020-09-11 | 1.0419 | 1.0684 |
002448 | 2020-09-04 | 1.042 | 1.0685 |
002448 | 2020-08-28 | 1.0419 | 1.0684 |
002448 | 2020-08-21 | 1.0439 | 1.0704 |
002448 | 2020-08-19 | 1.0449 | 1.0714 |
002448 | 2020-08-18 | 1.0466 | 1.0731 |