| 基金代码 | 日期 | 单位净值(元) | 累计净值(元) |
| 400013 | 2021-09-17 | 1.3451 | 1.7573 |
| 400013 | 2021-09-16 | 1.3535 | 1.7667 |
| 400013 | 2021-09-15 | 1.3585 | 1.7722 |
| 400013 | 2021-09-14 | 1.3662 | 1.7807 |
| 400013 | 2021-09-13 | 1.3826 | 1.7989 |
| 400013 | 2021-09-10 | 1.3667 | 1.7813 |
| 400013 | 2021-09-09 | 1.3594 | 1.7732 |
| 400013 | 2021-09-08 | 1.3449 | 1.7571 |
| 400013 | 2021-09-07 | 1.3376 | 1.749 |
| 400013 | 2021-09-06 | 1.3137 | 1.7225 |