|
|
華南永昌全球投資等級債券基金A不配息(美元)(本基金配息來源可能為本金)-近30日淨值 |
日期 |
淨值 |
漲/跌 |
漲跌幅(%) |
11/12 |
10.3858 |
-0.0736 |
-0.7 |
11/08 |
10.4594 |
0.0275 |
0.26 |
11/07 |
10.4319 |
0.0695 |
0.67 |
11/06 |
10.3624 |
-0.0731 |
-0.7 |
11/05 |
10.4355 |
0.0281 |
0.27 |
11/04 |
10.4074 |
0.067 |
0.65 |
11/01 |
10.3404 |
-0.0562 |
-0.54 |
10/30 |
10.3966 |
-0.0123 |
-0.12 |
10/29 |
10.4089 |
0.0207 |
0.2 |
10/28 |
10.3882 |
-0.0202 |
-0.19 |
10/25 |
10.4084 |
-0.0151 |
-0.14 |
10/24 |
10.4235 |
0.0291 |
0.28 |
10/23 |
10.3944 |
-0.0299 |
-0.29 |
10/22 |
10.4243 |
-0.0043 |
-0.04 |
10/21 |
10.4286 |
-0.0945 |
-0.9 |
|
日期 |
淨值 |
漲/跌 |
漲跌幅(%) |
10/18 |
10.5231 |
-0.0146 |
-0.14 |
10/17 |
10.5377 |
-0.062 |
-0.58 |
10/16 |
10.5997 |
0.017 |
0.16 |
10/15 |
10.5827 |
0.0524 |
0.5 |
10/11 |
10.5303 |
-0.0119 |
-0.11 |
10/09 |
10.5422 |
-0.0234 |
-0.22 |
10/08 |
10.5656 |
0.0118 |
0.11 |
10/07 |
10.5538 |
-0.0429 |
-0.4 |
10/04 |
10.5967 |
-0.1325 |
-1.23 |
10/01 |
10.7292 |
0.0382 |
0.36 |
09/30 |
10.6910 |
-0.0176 |
-0.16 |
09/27 |
10.7086 |
0.0326 |
0.31 |
09/26 |
10.6760 |
-0.0055 |
-0.05 |
09/25 |
10.6815 |
-0.0635 |
-0.59 |
09/24 |
10.7450 |
0.0198 |
0.18 |
|