
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 |
4.48 |
2022/11/16 |
4.28 |
2022/09/19 |
4.40 |
2023/12/08 |
4.21 |
2022/11/14 |
4.25 |
2022/09/15 |
4.41 |
2023/04/11 |
4.28 |
2022/11/03 |
4.19 |
2022/08/24 |
4.45 |
2023/03/09 |
4.29 |
2022/10/07 |
4.23 |
2022/08/23 |
4.45 |
2022/12/15 |
4.32 |
2022/10/06 |
4.23 |
2022/08/22 |
4.43 |
2022/12/14 |
4.32 |
2022/10/05 |
4.23 |
2022/08/19 |
4.45 |
2022/12/08 |
4.30 |
2022/09/29 |
4.21 |
2022/08/18 |
4.47 |
2022/11/30 |
4.28 |
2022/09/27 |
4.26 |
2022/07/15 |
4.24 |
2022/11/28 |
4.25 |
2022/09/23 |
4.34 |
2022/07/13 |
4.28 |
2022/11/18 |
4.23 |
2022/09/22 |
4.37 |
2022/06/02 |
4.69 |