基金代码 | 日期 | 单位净值(元) | 累计净值(元) |
001702 | 2025-06-13 | 1.7361 | 1.7361 |
001702 | 2025-06-12 | 1.7306 | 1.7306 |
001702 | 2025-06-11 | 1.7501 | 1.7501 |
001702 | 2025-06-10 | 1.7454 | 1.7454 |
001702 | 2025-06-09 | 1.7886 | 1.7886 |
001702 | 2025-06-06 | 1.7779 | 1.7779 |
001702 | 2025-06-05 | 1.7702 | 1.7702 |
001702 | 2025-06-04 | 1.7252 | 1.7252 |
001702 | 2025-06-03 | 1.7227 | 1.7227 |
001702 | 2025-05-30 | 1.7017 | 1.7017 |