基金代码 | 日期 | 单位净值(元) | 累计净值(元) |
001702 | 2025-06-27 | 1.8642 | 1.8642 |
001702 | 2025-06-26 | 1.8535 | 1.8535 |
001702 | 2025-06-25 | 1.8737 | 1.8737 |
001702 | 2025-06-24 | 1.8435 | 1.8435 |
001702 | 2025-06-23 | 1.8249 | 1.8249 |
001702 | 2025-06-20 | 1.7939 | 1.7939 |
001702 | 2025-06-19 | 1.7943 | 1.7943 |
001702 | 2025-06-18 | 1.782 | 1.782 |
001702 | 2025-06-17 | 1.7435 | 1.7435 |
001702 | 2025-06-16 | 1.7456 | 1.7456 |