| 基金代码 | 日期 | 单位净值(元) | 累计净值(元) |
| 400020 | 2020-10-22 | 1.2806 | 1.7116 |
| 400020 | 2020-10-21 | 1.2812 | 1.7123 |
| 400020 | 2020-10-20 | 1.2818 | 1.7131 |
| 400020 | 2020-10-19 | 1.2766 | 1.7064 |
| 400020 | 2020-10-16 | 1.2787 | 1.7091 |
| 400020 | 2020-10-15 | 1.2807 | 1.7117 |
| 400020 | 2020-10-14 | 1.2822 | 1.7136 |
| 400020 | 2020-10-13 | 1.285 | 1.7172 |
| 400020 | 2020-10-12 | 1.2821 | 1.7135 |
| 400020 | 2020-10-09 | 1.2686 | 1.6962 |