Skill
fund-net-value-detail-single-fund
按基金代码查询基金净值明细。当用户需要查询基金单位/累计/复权净值、净值增长率、每万份基金收益、7 日年化等明细,通过 nav_date 单日或 start_date+end_date 区间(互斥)查询时使用。
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