基金代码 | 日期 | 单位净值(元) | 累计净值(元) |
001702 | 2024-11-11 | 1.9424 | 1.9424 |
001702 | 2024-11-08 | 1.8363 | 1.8363 |
001702 | 2024-11-07 | 1.7878 | 1.7878 |
001702 | 2024-11-06 | 1.7455 | 1.7455 |
001702 | 2024-11-05 | 1.7437 | 1.7437 |
001702 | 2024-11-04 | 1.7105 | 1.7105 |
001702 | 2024-11-01 | 1.6644 | 1.6644 |
001702 | 2024-10-31 | 1.6927 | 1.6927 |
001702 | 2024-10-30 | 1.6719 | 1.6719 |
001702 | 2024-10-29 | 1.6819 | 1.6819 |