(0155)富達基金-歐元債券基金(A股月配息歐元)
最新淨值 10.4100歐元(2025/10/08)
漲跌 0.02 最高淨值(年) 10.7900
幅度 0.19% 最低淨值(年) 10.1900
淨值圖
近20日淨值
日期淨值漲跌幅(%)
10/0810.41000.19
10/0710.39000.00
10/0610.3900-0.10
10/0310.40000.00
10/0210.40000.10
10/0110.3900-0.10
09/3010.40000.00
09/2910.40000.19
09/2610.38000.10
09/2510.3700-0.10
日期淨值漲跌幅(%)
09/2410.38000.00
09/2310.38000.00
09/2210.38000.00
09/1910.3800-0.10
09/1810.3900-0.29
09/1710.42000.10
09/1610.41000.00
09/1510.41000.19
09/1210.3900-0.38
09/1110.43000.00