| 基金代码 | 日期 | 单位净值(元) | 累计净值(元) |
| 001121 | 2022-04-15 | 1.1661 | 1.1661 |
| 001121 | 2022-04-14 | 1.1825 | 1.1825 |
| 001121 | 2022-04-13 | 1.1723 | 1.1723 |
| 001121 | 2022-04-12 | 1.1701 | 1.1701 |
| 001121 | 2022-04-11 | 1.161 | 1.161 |
| 001121 | 2022-04-08 | 1.2048 | 1.2048 |
| 001121 | 2022-04-07 | 1.203 | 1.203 |
| 001121 | 2022-04-06 | 1.2179 | 1.2179 |
| 001121 | 2022-04-01 | 1.228 | 1.228 |
| 001121 | 2022-03-31 | 1.2205 | 1.2205 |