基金代码 | 日期 | 单位净值(元) | 累计净值(元) |
---|---|---|---|
002630 | 2023-12-14 | 0.9106 | 0.9106 |
002630 | 2023-12-13 | 0.9109 | 0.9109 |
002630 | 2023-12-12 | 0.9112 | 0.9112 |
002630 | 2023-12-11 | 0.9114 | 0.9114 |
002630 | 2023-12-08 | 0.9121 | 0.9121 |
002630 | 2023-12-07 | 0.9124 | 0.9124 |
002630 | 2023-12-06 | 0.9126 | 0.9126 |
002630 | 2023-12-05 | 0.9128 | 0.9128 |
002630 | 2023-12-04 | 0.9131 | 0.9131 |
002630 | 2023-12-01 | 0.9138 | 0.9138 |