净值日期 | 单位净值 | 累计净值 |
2022-08-11 | 1.008969 | 1.008969 |
2022-08-10 | 1.008924 | 1.008924 |
2022-08-09 | 1.009022 | 1.009022 |
2022-08-08 | 1.008771 | 1.008771 |
2022-08-07 | 1.008466 | 1.008466 |
2022-08-06 | 1.008379 | 1.008379 |
2022-08-05 | 1.008293 | 1.008293 |
2022-08-04 | 1.007892 | 1.007892 |
2022-08-03 | 1.007746 | 1.007746 |
2022-08-02 | 1.007482 | 1.007482 |
2022-08-01 | 1.006791 | 1.006791 |
2022-07-31 | 1.006357 | 1.006357 |
2022-07-30 | 1.006245 | 1.006245 |
2022-07-29 | 1.006133 | 1.006133 |
2022-07-28 | 1.005742 | 1.005742 |