基金代码 | 日期 | 单位净值(元) | 累计净值(元) |
001702 | 2024-02-02 | 1.2095 | 1.2095 |
001702 | 2024-02-01 | 1.2522 | 1.2522 |
001702 | 2024-01-31 | 1.2392 | 1.2392 |
001702 | 2024-01-30 | 1.2698 | 1.2698 |
001702 | 2024-01-29 | 1.3167 | 1.3167 |
001702 | 2024-01-26 | 1.3545 | 1.3545 |
001702 | 2024-01-25 | 1.4056 | 1.4056 |
001702 | 2024-01-24 | 1.3688 | 1.3688 |
001702 | 2024-01-23 | 1.3781 | 1.3781 |
001702 | 2024-01-22 | 1.3589 | 1.3589 |