|
|
華南永昌實質豐收組合基金A不配息(美元)(本基金有相當比重投資於非投資等級高風險債券之基金且配息來源可能為本金)-近30日淨值 |
日期 |
淨值 |
漲/跌 |
漲跌幅(%) |
09/19 |
9.8200 |
0.11 |
1.13 |
09/18 |
9.7100 |
-0.03 |
-0.31 |
09/16 |
9.7400 |
0.03 |
0.31 |
09/13 |
9.7100 |
0.07 |
0.73 |
09/12 |
9.6400 |
0.06 |
0.63 |
09/11 |
9.5800 |
0.04 |
0.42 |
09/10 |
9.5400 |
0.04 |
0.42 |
09/09 |
9.5000 |
0.08 |
0.85 |
09/06 |
9.4200 |
-0.11 |
-1.15 |
09/05 |
9.5300 |
-0.02 |
-0.21 |
09/04 |
9.5500 |
-0.01 |
-0.1 |
09/03 |
9.5600 |
-0.19 |
-1.95 |
08/30 |
9.7500 |
0.07 |
0.72 |
08/29 |
9.6800 |
0 |
0 |
08/28 |
9.6800 |
-0.05 |
-0.51 |
|
日期 |
淨值 |
漲/跌 |
漲跌幅(%) |
08/27 |
9.7300 |
0 |
0 |
08/26 |
9.7300 |
-0.03 |
-0.31 |
08/23 |
9.7600 |
0.11 |
1.14 |
08/22 |
9.6500 |
-0.06 |
-0.62 |
08/21 |
9.7100 |
0.03 |
0.31 |
08/20 |
9.6800 |
-0.02 |
-0.21 |
08/19 |
9.7000 |
0.08 |
0.83 |
08/16 |
9.6200 |
0.03 |
0.31 |
08/15 |
9.5900 |
0.11 |
1.16 |
08/14 |
9.4800 |
0.02 |
0.21 |
08/13 |
9.4600 |
0.13 |
1.39 |
08/12 |
9.3300 |
-0.01 |
-0.11 |
08/09 |
9.3400 |
0.04 |
0.43 |
08/08 |
9.3000 |
0.16 |
1.75 |
08/07 |
9.1400 |
-0.05 |
-0.54 |
|