基金代码 | 日期 | 单位净值(元) | 累计净值(元) |
---|---|---|---|
002630 | 2019-12-10 | 0.9813 | 0.9813 |
002630 | 2019-12-09 | 0.9805 | 0.9805 |
002630 | 2019-12-06 | 0.9808 | 0.9808 |
002630 | 2019-12-05 | 0.977 | 0.977 |
002630 | 2019-12-04 | 0.9725 | 0.9725 |
002630 | 2019-12-03 | 0.9737 | 0.9737 |
002630 | 2019-12-02 | 0.9716 | 0.9716 |
002630 | 2019-11-29 | 0.971 | 0.971 |
002630 | 2019-11-28 | 0.9787 | 0.9787 |
002630 | 2019-11-27 | 0.9814 | 0.9814 |