霸菱亞洲增長基金-A類美元配息型
最新淨值 144.08美元(2025/10/01)
漲跌 0.8200 最高淨值(年) 144.0800
幅度 0.57% 最低淨值(年) 101.2500
淨值圖
近20日淨值
日期淨值
10/01144.0800
09/30143.2600
09/29142.2500
09/26140.3300
09/25143.0000
09/24143.5400
09/23142.3900
09/22142.2900
09/19141.8800
09/18143.3300
日期淨值
09/17143.1200
09/16142.4200
09/15141.2200
09/12140.9200
09/11138.9600
09/10138.8500
09/09136.5700
09/08134.7400
09/05133.4300
09/04131.4800