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從 日 至
富坦-全球債券歐元A(Mdis)(本基金之配息來源可能為本金)-近30日淨值
日期 淨值 漲跌幅(%)
12/20 9.7100 0
12/19 9.7100 -0.72
12/18 9.7800 -0.31
12/17 9.8100 0.1
12/16 9.8000 -0.61
12/13 9.8600 -0.9
12/12 9.9500 -0.3
12/11 9.9800 0.4
12/10 9.9400 0.1
12/09 9.9300 -0.7
12/06 10.0000 -0.1
12/05 10.0100 -0.3
12/04 10.0400 -0.1
12/03 10.0500 -0.1
12/02 10.0600 0.5
日期 淨值 漲跌幅(%)
11/29 10.0100 0.3
11/27 9.9800 -0.3
11/26 10.0100 -0.2
11/25 10.0300 -0.1
11/22 10.0400 0.5
11/21 9.9900 0.6
11/20 9.9300 0.2
11/19 9.9100 0.3
11/18 9.8800 -0.2
11/15 9.9000 0.61
11/14 9.8400 0
11/13 9.8400 0
11/12 9.8400 -0.71
11/11 9.9100 -0.1
11/08 9.9200 -0.2