基金公司 | 聯博投信 |
基金名稱 | NN83_聯博-全球非投資等級債券AA(穩定月配)南非幣避險級別(基金之配息來源可能為本金) |
NN83_聯博-全球非投資等級債券AA(穩定月配)南非幣避險級別(基金之配息來源可能為本金)-近30日淨值 | |||
報價日期 | 申購價 | 贖回價 | 淨值 |
11/20 | 51.6800 | 51.6800 | 51.6800 |
11/19 | 51.6800 | 51.6800 | 51.6800 |
11/18 | 51.6100 | 51.6100 | 51.6100 |
11/15 | 51.5900 | 51.5900 | 51.5900 |
11/14 | 51.6600 | 51.6600 | 51.6600 |
11/13 | 51.6500 | 51.6500 | 51.6500 |
11/12 | 51.6800 | 51.6800 | 51.6800 |
11/11 | 51.8000 | 51.8000 | 51.8000 |
11/08 | 51.7900 | 51.7900 | 51.7900 |
11/07 | 51.6400 | 51.6400 | 51.6400 |
11/06 | 51.4200 | 51.4200 | 51.4200 |
11/05 | 51.3300 | 51.3300 | 51.3300 |
11/04 | 51.3600 | 51.3600 | 51.3600 |
10/31 | 51.3400 | 51.3400 | 51.3400 |
10/30 | 51.9300 | 51.9300 | 51.9300 |
10/29 | 52.0200 | 52.0200 | 52.0200 |
10/28 | 51.9200 | 51.9200 | 51.9200 |
10/25 | 51.9100 | 51.9100 | 51.9100 |
10/24 | 51.8800 | 51.8800 | 51.8800 |
10/23 | 51.8300 | 51.8300 | 51.8300 |
10/22 | 52.0200 | 52.0200 | 52.0200 |
10/21 | 51.9900 | 51.9900 | 51.9900 |
10/18 | 52.1300 | 52.1300 | 52.1300 |
10/17 | 52.0800 | 52.0800 | 52.0800 |
10/16 | 52.1100 | 52.1100 | 52.1100 |
10/15 | 52.0500 | 52.0500 | 52.0500 |
10/14 | 51.9400 | 51.9400 | 51.9400 |
10/11 | 51.9400 | 51.9400 | 51.9400 |
10/10 | 51.8800 | 51.8800 | 51.8800 |
10/09 | 51.8700 | 51.8700 | 51.8700 |