基金代码 | 日期 | 单位净值(元) | 累计净值(元) |
---|---|---|---|
002631 | 2020-02-13 | 0.9379 | 0.9379 |
002631 | 2020-02-12 | 0.9407 | 0.9407 |
002631 | 2020-02-11 | 0.9353 | 0.9353 |
002631 | 2020-02-10 | 0.927 | 0.927 |
002631 | 2020-02-07 | 0.9276 | 0.9276 |
002631 | 2020-02-06 | 0.9285 | 0.9285 |
002631 | 2020-02-05 | 0.9189 | 0.9189 |
002631 | 2020-02-04 | 0.9135 | 0.9135 |
002631 | 2020-02-03 | 0.8979 | 0.8979 |
002631 | 2020-01-23 | 0.9448 | 0.9448 |