| 基金代码 | 日期 | 单位净值(元) | 累计净值(元) |
| 001121 | 2023-03-10 | 0.9892 | 0.9892 |
| 001121 | 2023-03-09 | 0.9975 | 0.9975 |
| 001121 | 2023-03-08 | 0.9998 | 0.9998 |
| 001121 | 2023-03-07 | 1.0098 | 1.0098 |
| 001121 | 2023-03-06 | 1.0219 | 1.0219 |
| 001121 | 2023-03-03 | 1.0188 | 1.0188 |
| 001121 | 2023-03-02 | 1.0167 | 1.0167 |
| 001121 | 2023-03-01 | 1.0243 | 1.0243 |
| 001121 | 2023-02-28 | 1.0209 | 1.0209 |
| 001121 | 2023-02-27 | 1.0197 | 1.0197 |