基金代码 | 日期 | 单位净值(元) | 累计净值(元) |
---|---|---|---|
002631 | 2017-09-07 | 0.9692 | 0.9692 |
002631 | 2017-09-06 | 0.9844 | 0.9844 |
002631 | 2017-09-05 | 0.9783 | 0.9783 |
002631 | 2017-09-04 | 0.9862 | 0.9862 |
002631 | 2017-09-01 | 0.9788 | 0.9788 |
002631 | 2017-08-31 | 0.9621 | 0.9621 |
002631 | 2017-08-30 | 0.9601 | 0.9601 |
002631 | 2017-08-29 | 0.9477 | 0.9477 |
002631 | 2017-08-28 | 0.9462 | 0.9462 |
002631 | 2017-08-25 | 0.9377 | 0.9377 |