| 基金代码 | 日期 | 单位净值(元) | 累计净值(元) |
| 400003 | 2008-07-31 | 0.7299 | 2.568 |
| 400003 | 2008-07-30 | 0.7541 | 2.6339 |
| 400003 | 2008-07-29 | 0.7574 | 2.6429 |
| 400003 | 2008-07-28 | 0.7667 | 2.6682 |
| 400003 | 2008-07-25 | 0.7591 | 2.6475 |
| 400003 | 2008-07-24 | 0.7684 | 2.6729 |
| 400003 | 2008-07-23 | 0.7521 | 2.6285 |
| 400003 | 2008-07-22 | 0.7579 | 2.6443 |
| 400003 | 2008-07-21 | 0.7586 | 2.6462 |
| 400003 | 2008-07-18 | 0.7364 | 2.5857 |