基金代码 | 日期 | 单位净值(元) | 累计净值(元) |
---|---|---|---|
002631 | 2019-01-14 | 0.7741 | 0.7741 |
002631 | 2019-01-11 | 0.7814 | 0.7814 |
002631 | 2019-01-10 | 0.7784 | 0.7784 |
002631 | 2019-01-09 | 0.7767 | 0.7767 |
002631 | 2019-01-08 | 0.7673 | 0.7673 |
002631 | 2019-01-07 | 0.7697 | 0.7697 |
002631 | 2019-01-04 | 0.7619 | 0.7619 |
002631 | 2019-01-03 | 0.7504 | 0.7504 |
002631 | 2019-01-02 | 0.7572 | 0.7572 |
002631 | 2018-12-31 | 0.7663 | 0.7663 |