基金代码 | 日期 | 单位净值(元) | 累计净值(元) |
001702 | 2017-10-11 | 0.9742 | 0.9742 |
001702 | 2017-10-10 | 0.9871 | 0.9871 |
001702 | 2017-10-09 | 0.9887 | 0.9887 |
001702 | 2017-09-29 | 0.9779 | 0.9779 |
001702 | 2017-09-28 | 0.9715 | 0.9715 |
001702 | 2017-09-27 | 0.9728 | 0.9728 |
001702 | 2017-09-26 | 0.9576 | 0.9576 |
001702 | 2017-09-25 | 0.9576 | 0.9576 |
001702 | 2017-09-22 | 0.97 | 0.97 |
001702 | 2017-09-21 | 0.9609 | 0.9609 |