基金代码 | 日期 | 单位净值(元) | 累计净值(元) |
001702 | 2017-11-22 | 1.0481 | 1.0481 |
001702 | 2017-11-21 | 1.0541 | 1.0541 |
001702 | 2017-11-20 | 1.05 | 1.05 |
001702 | 2017-11-17 | 1.0253 | 1.0253 |
001702 | 2017-11-16 | 1.0591 | 1.0591 |
001702 | 2017-11-15 | 1.0531 | 1.0531 |
001702 | 2017-11-14 | 1.0741 | 1.0741 |
001702 | 2017-11-13 | 1.0997 | 1.0997 |
001702 | 2017-11-10 | 1.0775 | 1.0775 |
001702 | 2017-11-09 | 1.0612 | 1.0612 |