| 基金代码 | 日期 | 单位净值(元) | 累计净值(元) |
| 400003 | 2008-09-11 | 0.5325 | 2.0304 |
| 400003 | 2008-09-10 | 0.5443 | 2.0625 |
| 400003 | 2008-09-09 | 0.5413 | 2.0543 |
| 400003 | 2008-09-08 | 0.5404 | 2.0519 |
| 400003 | 2008-09-05 | 0.5592 | 2.1031 |
| 400003 | 2008-09-04 | 0.5756 | 2.1477 |
| 400003 | 2008-09-03 | 0.5773 | 2.1524 |
| 400003 | 2008-09-02 | 0.5819 | 2.1649 |
| 400003 | 2008-09-01 | 0.5804 | 2.1608 |
| 400003 | 2008-08-29 | 0.6 | 2.2142 |