基金代码 | 日期 | 单位净值(元) | 累计净值(元) |
---|---|---|---|
002631 | 2019-12-10 | 0.9377 | 0.9377 |
002631 | 2019-12-09 | 0.937 | 0.937 |
002631 | 2019-12-06 | 0.9373 | 0.9373 |
002631 | 2019-12-05 | 0.9336 | 0.9336 |
002631 | 2019-12-04 | 0.9294 | 0.9294 |
002631 | 2019-12-03 | 0.9305 | 0.9305 |
002631 | 2019-12-02 | 0.9286 | 0.9286 |
002631 | 2019-11-29 | 0.928 | 0.928 |
002631 | 2019-11-28 | 0.9353 | 0.9353 |
002631 | 2019-11-27 | 0.938 | 0.938 |