-
产品名称单位净值成立日期更新日期
-
1.00042022/6/102022-06-24
-
1.00132022/4/142022-06-27
-
1.00312022/4/142022-06-27
-
1.10212022/5/252022-06-28
-
1.01122022/4/212022-06-27
-
1.04132022/3/312022-06-28
-
0.97762022/1/62022-06-27
-
1.01222022/2/152022-06-27