| 基金代码 | 日期 | 单位净值(元) | 累计净值(元) |
| 400003 | 2007-05-10 | 2.2297 | 2.8097 |
| 400003 | 2007-05-09 | 2.2181 | 2.7981 |
| 400003 | 2007-05-08 | 2.2248 | 2.8048 |
| 400003 | 2007-04-30 | 2.1407 | 2.7207 |
| 400003 | 2007-04-27 | 2.1075 | 2.6875 |
| 400003 | 2007-04-26 | 2.1098 | 2.6898 |
| 400003 | 2007-04-25 | 2.08 | 2.66 |
| 400003 | 2007-04-24 | 2.0966 | 2.6766 |
| 400003 | 2007-04-23 | 2.0869 | 2.6669 |
| 400003 | 2007-04-20 | 2.0214 | 2.6014 |