基金代码 | 日期 | 单位净值(元) | 累计净值(元) |
---|---|---|---|
002448 | 2025-01-10 | 1.2227 | 1.2492 |
002448 | 2025-01-09 | 1.2228 | 1.2493 |
002448 | 2025-01-03 | 1.2244 | 1.2509 |
002448 | 2024-12-31 | 1.2222 | 1.2487 |
002448 | 2024-12-27 | 1.2219 | 1.2484 |
002448 | 2024-12-25 | 1.2206 | 1.2471 |
002448 | 2024-12-20 | 1.2219 | 1.2484 |
002448 | 2024-12-13 | 1.2199 | 1.2464 |
002448 | 2024-12-06 | 1.2155 | 1.242 |
002448 | 2024-11-29 | 1.2125 | 1.239 |