| 基金代码 | 日期 | 单位净值(元) | 累计净值(元) |
| 001121 | 2025-10-29 | 1.0327 | 1.0327 |
| 001121 | 2025-10-28 | 1.0247 | 1.0247 |
| 001121 | 2025-10-27 | 1.0316 | 1.0316 |
| 001121 | 2025-10-24 | 1.0226 | 1.0226 |
| 001121 | 2025-10-23 | 1.0205 | 1.0205 |
| 001121 | 2025-10-22 | 1.0147 | 1.0147 |
| 001121 | 2025-10-21 | 1.0212 | 1.0212 |
| 001121 | 2025-10-20 | 1.0152 | 1.0152 |
| 001121 | 2025-10-17 | 1.0192 | 1.0192 |
| 001121 | 2025-10-16 | 1.0367 | 1.0367 |