(1113)霸菱歐寶基金-A類美元配息型
最新淨值 71.2700美元(2025/10/08)
漲跌 -0.30 最高淨值(年) 72.1600
幅度 -0.42% 最低淨值(年) 58.9200
淨值圖
近20日淨值
日期淨值漲跌幅(%)
10/0871.2700-0.42
10/0771.57000.03
10/0671.5500-0.69
10/0372.0500-0.15
10/0272.16001.56
10/0171.05001.17
09/3070.23000.14
09/2970.13001.26
09/2669.2600-0.63
09/2569.7000-0.70
日期淨值漲跌幅(%)
09/2470.1900-0.78
09/2370.74000.75
09/2270.2100-0.18
09/1970.3400-0.62
09/1870.78001.04
09/1770.0500-0.81
09/1670.62000.03
09/1570.60000.76
09/1270.07000.39
09/1169.8000-0.48