基金代码 | 日期 | 单位净值(元) | 累计净值(元) |
001702 | 2024-07-09 | 1.404 | 1.404 |
001702 | 2024-07-08 | 1.3661 | 1.3661 |
001702 | 2024-07-05 | 1.3825 | 1.3825 |
001702 | 2024-07-04 | 1.3836 | 1.3836 |
001702 | 2024-07-03 | 1.4068 | 1.4068 |
001702 | 2024-07-02 | 1.4017 | 1.4017 |
001702 | 2024-07-01 | 1.4263 | 1.4263 |
001702 | 2024-06-30 | 1.4103 | 1.4103 |
001702 | 2024-06-28 | 1.4104 | 1.4104 |
001702 | 2024-06-27 | 1.4092 | 1.4092 |