基金代码 | 日期 | 单位净值(元) | 累计净值(元) |
---|---|---|---|
002631 | 2020-01-22 | 0.96 | 0.96 |
002631 | 2020-01-21 | 0.9579 | 0.9579 |
002631 | 2020-01-20 | 0.9684 | 0.9684 |
002631 | 2020-01-17 | 0.9641 | 0.9641 |
002631 | 2020-01-16 | 0.9619 | 0.9619 |
002631 | 2020-01-15 | 0.9655 | 0.9655 |
002631 | 2020-01-14 | 0.9706 | 0.9706 |
002631 | 2020-01-13 | 0.9725 | 0.9725 |
002631 | 2020-01-10 | 0.9687 | 0.9687 |
002631 | 2020-01-09 | 0.9684 | 0.9684 |