基金代码 | 日期 | 单位净值(元) | 累计净值(元) |
001702 | 2024-01-19 | 1.4204 | 1.4204 |
001702 | 2024-01-18 | 1.4272 | 1.4272 |
001702 | 2024-01-17 | 1.4138 | 1.4138 |
001702 | 2024-01-16 | 1.4604 | 1.4604 |
001702 | 2024-01-15 | 1.4512 | 1.4512 |
001702 | 2024-01-12 | 1.4529 | 1.4529 |
001702 | 2024-01-11 | 1.4625 | 1.4625 |
001702 | 2024-01-10 | 1.4451 | 1.4451 |
001702 | 2024-01-09 | 1.4486 | 1.4486 |
001702 | 2024-01-08 | 1.4513 | 1.4513 |