| 基金代码 | 日期 | 单位净值(元) | 累计净值(元) |
| 001384 | 2022-01-26 | 1.5674 | 1.5674 |
| 001384 | 2022-01-25 | 1.5568 | 1.5568 |
| 001384 | 2022-01-24 | 1.5936 | 1.5936 |
| 001384 | 2022-01-21 | 1.6068 | 1.6068 |
| 001384 | 2022-01-20 | 1.6113 | 1.6113 |
| 001384 | 2022-01-19 | 1.5938 | 1.5938 |
| 001384 | 2022-01-18 | 1.6009 | 1.6009 |
| 001384 | 2022-01-17 | 1.5889 | 1.5889 |
| 001384 | 2022-01-14 | 1.5799 | 1.5799 |
| 001384 | 2022-01-13 | 1.6014 | 1.6014 |