基金代码 | 日期 | 单位净值(元) | 累计净值(元) |
001702 | 2024-01-04 | 1.513 | 1.513 |
001702 | 2024-01-03 | 1.5315 | 1.5315 |
001702 | 2024-01-02 | 1.5464 | 1.5464 |
001702 | 2023-12-31 | 1.5908 | 1.5908 |
001702 | 2023-12-29 | 1.5909 | 1.5909 |
001702 | 2023-12-28 | 1.5966 | 1.5966 |
001702 | 2023-12-27 | 1.5428 | 1.5428 |
001702 | 2023-12-26 | 1.5144 | 1.5144 |
001702 | 2023-12-25 | 1.5322 | 1.5322 |
001702 | 2023-12-22 | 1.5392 | 1.5392 |