基金代码 | 日期 | 单位净值(元) | 累计净值(元) |
001702 | 2017-12-20 | 0.9547 | 0.9547 |
001702 | 2017-12-19 | 0.969 | 0.969 |
001702 | 2017-12-18 | 0.9581 | 0.9581 |
001702 | 2017-12-15 | 0.9712 | 0.9712 |
001702 | 2017-12-14 | 0.9876 | 0.9876 |
001702 | 2017-12-13 | 0.9945 | 0.9945 |
001702 | 2017-12-12 | 0.9896 | 0.9896 |
001702 | 2017-12-11 | 0.9996 | 0.9996 |
001702 | 2017-12-08 | 0.9857 | 0.9857 |
001702 | 2017-12-07 | 0.9702 | 0.9702 |