| 基金代码 | 日期 | 单位净值(元) | 累计净值(元) |
| 001121 | 2025-06-03 | 0.94 | 0.94 |
| 001121 | 2025-05-30 | 0.9384 | 0.9384 |
| 001121 | 2025-05-29 | 0.9377 | 0.9377 |
| 001121 | 2025-05-28 | 0.9346 | 0.9346 |
| 001121 | 2025-05-27 | 0.9337 | 0.9337 |
| 001121 | 2025-05-26 | 0.9338 | 0.9338 |
| 001121 | 2025-05-23 | 0.9342 | 0.9342 |
| 001121 | 2025-05-22 | 0.9367 | 0.9367 |
| 001121 | 2025-05-21 | 0.94 | 0.94 |
| 001121 | 2025-05-20 | 0.9379 | 0.9379 |