| 基金代码 | 日期 | 单位净值(元) | 累计净值(元) |
| 001121 | 2024-12-27 | 0.9133 | 0.9133 |
| 001121 | 2024-12-26 | 0.9145 | 0.9145 |
| 001121 | 2024-12-25 | 0.916 | 0.916 |
| 001121 | 2024-12-24 | 0.9202 | 0.9202 |
| 001121 | 2024-12-23 | 0.9162 | 0.9162 |
| 001121 | 2024-12-20 | 0.9177 | 0.9177 |
| 001121 | 2024-12-19 | 0.9228 | 0.9228 |
| 001121 | 2024-12-18 | 0.9274 | 0.9274 |
| 001121 | 2024-12-17 | 0.9301 | 0.9301 |
| 001121 | 2024-12-16 | 0.933 | 0.933 |