| 基金代码 | 日期 | 单位净值(元) | 累计净值(元) |
| 400020 | 2021-03-05 | 1.3642 | 1.8187 |
| 400020 | 2021-03-04 | 1.3685 | 1.8242 |
| 400020 | 2021-03-03 | 1.3841 | 1.8442 |
| 400020 | 2021-03-02 | 1.3731 | 1.8301 |
| 400020 | 2021-03-01 | 1.3782 | 1.8367 |
| 400020 | 2021-02-26 | 1.3724 | 1.8292 |
| 400020 | 2021-02-25 | 1.3852 | 1.8457 |
| 400020 | 2021-02-24 | 1.3762 | 1.8341 |
| 400020 | 2021-02-23 | 1.3847 | 1.845 |
| 400020 | 2021-02-22 | 1.384 | 1.8441 |