| 基金代码 | 日期 | 单位净值(元) | 累计净值(元) |
| 400009 | 2010-01-29 | 0.998 | 0.998 |
| 400009 | 2010-01-28 | 0.998 | 0.998 |
| 400009 | 2010-01-27 | 0.995 | 0.995 |
| 400009 | 2010-01-26 | 0.992 | 0.992 |
| 400009 | 2010-01-25 | 1.0 | 1.0 |
| 400009 | 2010-01-22 | 1.001 | 1.001 |
| 400009 | 2010-01-21 | 1.004 | 1.004 |
| 400009 | 2010-01-20 | 1.002 | 1.002 |
| 400009 | 2010-01-19 | 1.008 | 1.008 |
| 400009 | 2010-01-18 | 1.005 | 1.005 |