| 基金代码 | 日期 | 单位净值(元) | 累计净值(元) |
| 400020 | 2022-03-30 | 1.3134 | 1.7536 |
| 400020 | 2022-03-29 | 1.2932 | 1.7277 |
| 400020 | 2022-03-28 | 1.2964 | 1.7318 |
| 400020 | 2022-03-25 | 1.2977 | 1.7335 |
| 400020 | 2022-03-24 | 1.3107 | 1.7502 |
| 400020 | 2022-03-23 | 1.3189 | 1.7607 |
| 400020 | 2022-03-22 | 1.3103 | 1.7496 |
| 400020 | 2022-03-21 | 1.3107 | 1.7502 |
| 400020 | 2022-03-18 | 1.3129 | 1.753 |
| 400020 | 2022-03-17 | 1.3055 | 1.7435 |