基金代码 | 日期 | 单位净值(元) | 累计净值(元) |
001702 | 2025-04-28 | 1.7977 | 1.7977 |
001702 | 2025-04-25 | 1.8036 | 1.8036 |
001702 | 2025-04-24 | 1.7848 | 1.7848 |
001702 | 2025-04-23 | 1.8036 | 1.8036 |
001702 | 2025-04-22 | 1.7962 | 1.7962 |
001702 | 2025-04-21 | 1.7882 | 1.7882 |
001702 | 2025-04-18 | 1.7527 | 1.7527 |
001702 | 2025-04-17 | 1.7615 | 1.7615 |
001702 | 2025-04-16 | 1.7561 | 1.7561 |
001702 | 2025-04-15 | 1.7653 | 1.7653 |