日期 | 淨值 |
10/01 | 7.0600 | 09/30 | 7.0500 | 09/29 | 7.0600 | 09/26 | 7.0500 | 09/25 | 7.0500 | 09/24 | 7.0700 | 09/23 | 7.0700 | 09/22 | 7.0700 | 09/19 | 7.0700 | 09/18 | 7.0700 | |
日期 | 淨值 |
09/17 | 7.0600 | 09/16 | 7.0600 | 09/15 | 7.0600 | 09/12 | 7.0900 | 09/11 | 7.0900 | 09/10 | 7.0700 | 09/09 | 7.0600 | 09/08 | 7.0600 | 09/05 | 7.0600 | 09/04 | 7.0300 | |