日期 | 淨值 |
06/18 | 12.0745 | 06/17 | 12.0731 | 06/16 | 12.0686 | 06/13 | 12.0604 | 06/12 | 12.0787 | 06/11 | 12.0697 | 06/10 | 12.0556 | 06/09 | 12.0397 | 06/06 | 12.0300 | 06/05 | 12.0407 | |
日期 | 淨值 |
06/04 | 12.0342 | 06/03 | 12.0110 | 06/02 | 12.0026 | 05/29 | 11.9895 | 05/28 | 11.9783 | 05/27 | 11.9814 | 05/23 | 11.9354 | 05/22 | 11.9443 | 05/21 | 11.9456 | 05/20 | 12.0005 | |