| 基金代码 | 日期 | 单位净值(元) | 累计净值(元) |
| 400003 | 2010-07-12 | 0.8609 | 2.9248 |
| 400003 | 2010-07-09 | 0.8564 | 2.9126 |
| 400003 | 2010-07-08 | 0.8357 | 2.8562 |
| 400003 | 2010-07-07 | 0.8378 | 2.8619 |
| 400003 | 2010-07-06 | 0.8287 | 2.8371 |
| 400003 | 2010-07-05 | 0.8115 | 2.7903 |
| 400003 | 2010-07-02 | 0.8148 | 2.7992 |
| 400003 | 2010-07-01 | 0.8182 | 2.8085 |
| 400003 | 2010-06-30 | 0.8296 | 2.8396 |
| 400003 | 2010-06-29 | 0.8296 | 2.8396 |