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摩根基金-歐洲A股(美元)(分派)(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(%)
12/19 58.5600 -2.32
12/18 59.9500 0.08
12/17 59.9000 -0.4
12/16 60.1400 -0.05
12/13 60.1700 -0.81
12/12 60.6600 0.17
12/11 60.5600 -0.2
12/10 60.6800 -1.03
12/09 61.3100 0.03
12/06 61.2900 0.49
12/05 60.9900 0.79
12/04 60.5100 0.46
12/03 60.2300 1.23
12/02 59.5000 0.1
11/29 59.4400 0.07
日期 淨值 漲跌幅(%)
11/28 59.4000 0.44
11/27 59.1400 0.03
11/26 59.1200 -0.37
11/25 59.3400 0.94
11/22 58.7900 0.34
11/21 58.5900 0.27
11/20 58.4300 0.26
11/19 58.2800 -0.66
11/18 58.6700 -0.37
11/15 58.8900 -0.89
11/14 59.4200 1.16
11/13 58.7400 -1.23
11/12 59.4700 -1.78
11/11 60.5500 0.31
11/08 60.3600 -1.32