| 基金代码 | 日期 | 单位净值(元) | 累计净值(元) |
| 001384 | 2022-01-12 | 1.6398 | 1.6398 |
| 001384 | 2022-01-11 | 1.6369 | 1.6369 |
| 001384 | 2022-01-10 | 1.6498 | 1.6498 |
| 001384 | 2022-01-07 | 1.6514 | 1.6514 |
| 001384 | 2022-01-06 | 1.6559 | 1.6559 |
| 001384 | 2022-01-05 | 1.6759 | 1.6759 |
| 001384 | 2022-01-04 | 1.6798 | 1.6798 |
| 001384 | 2021-12-31 | 1.6826 | 1.6826 |
| 001384 | 2021-12-30 | 1.6891 | 1.6891 |
| 001384 | 2021-12-29 | 1.6739 | 1.6739 |