(1455)景順美元極短期債券基金A股美元(已撤銷核備)
最新淨值 106.1998美元(2025/06/05)
漲跌 0.03 最高淨值(年) 106.1998
幅度 0.03% 最低淨值(年) 100.9685
淨值圖
近20日淨值
日期淨值漲跌幅(%)
06/05106.19980.03
06/04106.16620.02
06/03106.14930.01
06/02106.13860.03
05/30106.10300.03
05/28106.07220.02
05/27106.04770.01
05/26106.04010.04
05/23105.99880.01
05/22105.98310.00
日期淨值漲跌幅(%)
05/21105.98700.02
05/20105.96640.02
05/19105.94760.04
05/16105.90880.04
05/15105.87080.01
05/14105.86050.02
05/13105.83950.00
05/12105.84000.04
05/08105.80260.01
05/07105.79120.03