基金代码 | 日期 | 单位净值(元) | 累计净值(元) |
---|---|---|---|
002630 | 2025-02-06 | 1.3074 | 1.3074 |
002630 | 2025-02-05 | 1.2957 | 1.2957 |
002630 | 2025-01-27 | 1.3037 | 1.3037 |
002630 | 2025-01-24 | 1.313 | 1.313 |
002630 | 2025-01-23 | 1.3092 | 1.3092 |
002630 | 2025-01-22 | 1.314 | 1.314 |
002630 | 2025-01-21 | 1.3123 | 1.3123 |
002630 | 2025-01-20 | 1.3004 | 1.3004 |
002630 | 2025-01-17 | 1.2983 | 1.2983 |
002630 | 2025-01-16 | 1.2944 | 1.2944 |