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淨值日期 | 最新淨值 | 漲跌 | 漲跌幅% | 52周最高 | 52周最低 |
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2022/12/23 | 51.9443 | ▲0.1653 | ▲0.32 | 55.7095 | 50.9209 |
近30日淨值表 |
日期 | 淨值 | 日期 | 淨值 | 日期 | 淨值 |
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2022/12/23 | 51.94430 | 2022/12/22 | 51.77900 | 2022/12/21 | 51.88680 |
2022/12/20 | 51.90490 | 2022/12/19 | 51.94380 | 2022/12/16 | 51.90930 |
2022/12/15 | 51.87150 | 2022/12/14 | 51.77090 | 2022/12/13 | 51.77840 |
2022/12/12 | 51.89190 | 2022/12/09 | 52.00430 | 2022/12/08 | 51.95420 |
2022/12/07 | 51.75020 | 2022/12/06 | 51.72070 | 2022/12/05 | 51.74660 |
2022/12/02 | 51.28480 | 2022/12/01 | 51.12240 | 2022/11/30 | 50.93330 |
2022/11/29 | 50.92090 | 2022/11/28 | 50.93560 | 2022/11/25 | 51.11970 |
2022/11/23 | 51.73130 | 2022/11/22 | 51.60770 | 2022/11/21 | 51.58780 |
2022/11/18 | 51.69510 | 2022/11/17 | 51.59710 | 2022/11/16 | 51.87480 |
2022/11/15 | 52.04920 | 2022/11/14 | 52.05140 | 2022/11/10 | 52.31560 |
基金速覽 |
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淨值新台幣
51.9443
▲0.32%
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過去績效 |
資料日期:2022/12/23 |
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基準指數 |
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基金指數 Morningstar 基準指數 |
Moningstar 風格箱 |
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