
基金名稱:
近30日淨值表
日期 |
淨值 |
日期 |
淨值 |
日期 |
淨值 |
2024/05/29 |
307.51 |
2022/11/17 |
298.69 |
2022/09/20 |
312.50 |
2023/12/11 |
286.22 |
2022/11/15 |
300.00 |
2022/09/16 |
311.55 |
2023/04/11 |
297.80 |
2022/11/04 |
287.12 |
2022/08/24 |
322.67 |
2023/03/10 |
291.92 |
2022/10/11 |
293.00 |
2022/08/23 |
320.61 |
2022/12/16 |
298.59 |
2022/10/10 |
301.96 |
2022/08/19 |
322.00 |
2022/12/15 |
298.02 |
2022/10/06 |
306.64 |
2022/07/18 |
319.59 |
2022/12/09 |
306.36 |
2022/09/30 |
296.98 |
2022/07/14 |
320.92 |
2022/12/01 |
303.71 |
2022/09/28 |
301.47 |
2022/06/07 |
321.17 |
2022/11/28 |
291.69 |
2022/09/26 |
305.57 |
2022/05/30 |
319.91 |
2022/11/18 |
298.87 |
2022/09/23 |
307.88 |
2022/05/27 |
314.45 |