| 基金代码 | 日期 | 单位净值(元) | 累计净值(元) |
| 400003 | 2007-05-24 | 2.4164 | 2.9964 |
| 400003 | 2007-05-23 | 2.415 | 2.995 |
| 400003 | 2007-05-22 | 2.357 | 2.937 |
| 400003 | 2007-05-21 | 2.3309 | 2.9109 |
| 400003 | 2007-05-18 | 2.2886 | 2.8686 |
| 400003 | 2007-05-17 | 2.2827 | 2.8627 |
| 400003 | 2007-05-16 | 2.2384 | 2.8184 |
| 400003 | 2007-05-15 | 2.1688 | 2.7488 |
| 400003 | 2007-05-14 | 2.2287 | 2.8087 |
| 400003 | 2007-05-11 | 2.2166 | 2.7966 |