基金代码 | 日期 | 单位净值(元) | 累计净值(元) |
002497 | 2022-08-02 | 1.4562 | 1.4562 |
002497 | 2022-08-01 | 1.4652 | 1.4652 |
002497 | 2022-07-29 | 1.4629 | 1.4629 |
002497 | 2022-07-28 | 1.4719 | 1.4719 |
002497 | 2022-07-27 | 1.4739 | 1.4739 |
002497 | 2022-07-26 | 1.4788 | 1.4788 |
002497 | 2022-07-25 | 1.4732 | 1.4732 |
002497 | 2022-07-22 | 1.4734 | 1.4734 |
002497 | 2022-07-21 | 1.4742 | 1.4742 |
002497 | 2022-07-20 | 1.4812 | 1.4812 |