基金代码 | 日期 | 单位净值(元) | 累计净值(元) |
---|---|---|---|
002448 | 2017-08-08 | 0.9406 | 0.9671 |
002448 | 2017-08-04 | 0.943 | 0.9695 |
002448 | 2017-07-28 | 0.9434 | 0.9699 |
002448 | 2017-07-21 | 0.944 | 0.9705 |
002448 | 2017-07-14 | 0.9439 | 0.9704 |
002448 | 2017-07-07 | 0.9416 | 0.9681 |
002448 | 2017-06-30 | 0.9394 | 0.9659 |
002448 | 2017-06-23 | 0.9364 | 0.9629 |
002448 | 2017-06-16 | 0.9331 | 0.9596 |
002448 | 2017-06-15 | 0.9333 | 0.9598 |