| 基金代码 | 日期 | 单位净值(元) | 累计净值(元) |
| 400013 | 2025-06-24 | 1.3764 | 1.792 |
| 400013 | 2025-06-23 | 1.3658 | 1.7803 |
| 400013 | 2025-06-20 | 1.3615 | 1.7755 |
| 400013 | 2025-06-19 | 1.355 | 1.7683 |
| 400013 | 2025-06-18 | 1.3607 | 1.7746 |
| 400013 | 2025-06-17 | 1.3586 | 1.7723 |
| 400013 | 2025-06-16 | 1.3597 | 1.7735 |
| 400013 | 2025-06-13 | 1.3571 | 1.7706 |
| 400013 | 2025-06-12 | 1.365 | 1.7794 |
| 400013 | 2025-06-11 | 1.3653 | 1.7797 |