霸菱亞洲增長基金-A類歐元配息型
最新淨值 126.8800歐元(2025/10/08)
漲跌 -1.00 最高淨值(年) 127.8800
幅度 -0.78% 最低淨值(年) 91.7900
淨值圖
近20日淨值
日期淨值漲跌幅(%)
10/08126.8800-0.78
10/07127.88001.36
10/06126.16000.45
10/03125.60000.73
10/02124.69001.46
10/01122.89000.75
09/30121.97000.48
09/29121.39000.88
09/26120.3300-1.17
09/25121.7500-0.33
日期淨值漲跌幅(%)
09/24122.15001.18
09/23120.7200-0.11
09/22120.85000.17
09/19120.6500-0.38
09/18121.11000.14
09/17120.94000.27
09/16120.62000.37
09/15120.17000.05
09/12120.11000.98
09/11118.94000.21