基金代码 | 日期 | 单位净值(元) | 累计净值(元) |
---|---|---|---|
002448 | 2020-08-17 | 1.0463 | 1.0728 |
002448 | 2020-08-14 | 1.0439 | 1.0704 |
002448 | 2020-08-13 | 1.0426 | 1.0691 |
002448 | 2020-08-07 | 1.0426 | 1.0691 |
002448 | 2020-07-31 | 1.0413 | 1.0678 |
002448 | 2020-07-24 | 1.0383 | 1.0648 |
002448 | 2020-07-17 | 1.0348 | 1.0613 |
002448 | 2020-07-10 | 1.0367 | 1.0632 |
002448 | 2020-07-03 | 1.0356 | 1.0621 |
002448 | 2020-06-24 | 1.0281 | 1.0546 |