- 单位净值累计净值日增长率(%)
- 净值日期万份收益(元)7日年化收益率%
- 1.95601.95601.82
- 1.92101.92102.67
- 1.87101.87101.46
- 1.84401.84400.38
- 1.83701.8370-11.68
- 2.08002.0800-2.30
- 2.12902.12900.80
- 2.11202.1120-0.33
- 2.11902.1190-1.26
- 2.14602.1460-1.24
- 2.17302.1730-0.14
- 2.17602.1760-0.18
- 2.18002.18000.51
- 2.16902.1690-0.32
- 2.17602.1760-2.29
- 2.22702.2270-0.71
- 2.24302.2430-0.53
- 2.25502.2550-0.18
- 2.25902.25900.44