| 基金代码 | 日期 | 单位净值(元) | 累计净值(元) |
| 400013 | 2022-02-24 | 1.2887 | 1.6948 |
| 400013 | 2022-02-23 | 1.3058 | 1.7138 |
| 400013 | 2022-02-22 | 1.3038 | 1.7116 |
| 400013 | 2022-02-21 | 1.3156 | 1.7246 |
| 400013 | 2022-02-18 | 1.3178 | 1.7271 |
| 400013 | 2022-02-17 | 1.3115 | 1.7201 |
| 400013 | 2022-02-16 | 1.3115 | 1.7201 |
| 400013 | 2022-02-15 | 1.3072 | 1.7153 |
| 400013 | 2022-02-14 | 1.3063 | 1.7143 |
| 400013 | 2022-02-11 | 1.3144 | 1.7233 |