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富達基金-亞太入息基金(A股【F1穩定月配息】美元)-近30日淨值
日期 淨值 漲跌幅(%)
09/23 18.9000 -0.68
09/22 19.0300 0.11
09/21 19.0100 1.71
09/18 18.6900 -1.06
09/17 18.8900 0.48
09/16 18.8000 0.43
09/15 18.7200 -0.85
09/14 18.8800 -1.46
09/11 19.1600 0.52
09/10 19.0600 -0.94
09/09 19.2400 -1.03
09/08 19.4400 0
09/07 19.4400 0.36
09/04 19.3700 0.68
09/03 19.2400 0.89
日期 淨值 漲跌幅(%)
09/02 19.0700 0.1
09/01 19.0500 -0.21
08/31 19.0900 -1.04
08/28 19.2900 0
08/27 19.2900 0.05
08/26 19.2800 0.21
08/25 19.2400 1.05
08/24 19.0400 -1.45
08/21 19.3200 1.1
08/20 19.1100 0.95
08/19 18.9300 0.58
08/18 18.8200 -1.67
08/17 19.1400 1.22
08/14 18.9100 -0.63
08/13 19.0300 -0.37