基金代码 | 日期 | 单位净值(元) | 累计净值(元) |
---|---|---|---|
002630 | 2022-01-21 | 1.3875 | 1.3875 |
002630 | 2022-01-20 | 1.4021 | 1.4021 |
002630 | 2022-01-19 | 1.4267 | 1.4267 |
002630 | 2022-01-18 | 1.4576 | 1.4576 |
002630 | 2022-01-17 | 1.4524 | 1.4524 |
002630 | 2022-01-14 | 1.433 | 1.433 |
002630 | 2022-01-13 | 1.3923 | 1.3923 |
002630 | 2022-01-12 | 1.4219 | 1.4219 |
002630 | 2022-01-11 | 1.3908 | 1.3908 |
002630 | 2022-01-10 | 1.4209 | 1.4209 |