| 基金代码 | 日期 | 单位净值(元) | 累计净值(元) |
| 400013 | 2022-02-10 | 1.3136 | 1.7224 |
| 400013 | 2022-02-09 | 1.3133 | 1.7221 |
| 400013 | 2022-02-08 | 1.3048 | 1.7127 |
| 400013 | 2022-02-07 | 1.3048 | 1.7127 |
| 400013 | 2022-01-28 | 1.2927 | 1.6993 |
| 400013 | 2022-01-27 | 1.3061 | 1.7141 |
| 400013 | 2022-01-26 | 1.3143 | 1.7232 |
| 400013 | 2022-01-25 | 1.31 | 1.7184 |
| 400013 | 2022-01-24 | 1.3239 | 1.7338 |
| 400013 | 2022-01-21 | 1.3268 | 1.7371 |