| 基金代码 | 日期 | 单位净值(元) | 累计净值(元) |
| 400007 | 2018-10-26 | 2.361 | 2.361 |
| 400007 | 2018-10-25 | 2.3769 | 2.3769 |
| 400007 | 2018-10-24 | 2.3794 | 2.3794 |
| 400007 | 2018-10-23 | 2.3807 | 2.3807 |
| 400007 | 2018-10-22 | 2.4298 | 2.4298 |
| 400007 | 2018-10-19 | 2.3625 | 2.3625 |
| 400007 | 2018-10-18 | 2.3115 | 2.3115 |
| 400007 | 2018-10-17 | 2.3595 | 2.3595 |
| 400007 | 2018-10-16 | 2.3647 | 2.3647 |
| 400007 | 2018-10-15 | 2.3787 | 2.3787 |