| 基金代码 | 日期 | 单位净值(元) | 累计净值(元) |
| 400007 | 2008-12-09 | 0.8771 | 0.8771 |
| 400007 | 2008-12-08 | 0.8918 | 0.8918 |
| 400007 | 2008-12-05 | 0.8689 | 0.8689 |
| 400007 | 2008-12-04 | 0.8613 | 0.8613 |
| 400007 | 2008-12-03 | 0.8534 | 0.8534 |
| 400007 | 2008-12-02 | 0.8297 | 0.8297 |
| 400007 | 2008-12-01 | 0.8242 | 0.8242 |
| 400007 | 2008-11-28 | 0.8112 | 0.8112 |
| 400007 | 2008-11-27 | 0.8217 | 0.8217 |
| 400007 | 2008-11-26 | 0.8104 | 0.8104 |