日期 | 淨值 |
---|---|
2024/09/19 | 43.9300 |
2024/09/18 | 43.4100 |
2024/09/16 | 43.4100 |
2024/09/13 | 43.2900 |
2024/09/12 | 43.2000 |
2024/09/11 | 42.4300 |
2024/09/10 | 42.4500 |
2024/09/09 | 42.5000 |
2024/09/06 | 42.9200 |
2024/09/05 | 42.6100 |
2024/09/04 | 42.5100 |
2024/09/03 | 43.7800 |
2024/09/02 | 43.8800 |
2024/08/30 | 43.9200 |
2024/08/29 | 43.8600 |
2024/08/28 | 43.9800 |
2024/08/27 | 43.8900 |
2024/08/26 | 43.8400 |
2024/08/23 | 43.7800 |
2024/08/22 | 43.7600 |
2024/08/21 | 43.8500 |
2024/08/20 | 44.0500 |
2024/08/19 | 43.9700 |
2024/08/16 | 43.9800 |
2024/08/15 | 43.3900 |
2024/08/14 | 43.6700 |
2024/08/13 | 43.2900 |
2024/08/12 | 43.3200 |
2024/08/09 | 42.8400 |
2024/08/08 | 42.1500 |
2024/08/07 | 42.5600 |
2024/08/06 | 41.5200 |
2024/08/05 | 40.7400 |
2024/08/02 | 43.0100 |
2024/08/01 | 44.1300 |
2024/07/31 | 43.6000 |
2024/07/30 | 43.6400 |
2024/07/29 | 43.5900 |
2024/07/26 | 43.6500 |
2024/07/23 | 44.5100 |
2024/07/22 | 43.7500 |
2024/07/19 | 44.5900 |
2024/07/18 | 45.0800 |
2024/07/17 | 45.4100 |
2024/07/16 | 45.6400 |
2024/07/15 | 45.6300 |
2024/07/12 | 45.6600 |
2024/07/11 | 46.1500 |
2024/07/10 | 45.7500 |
2024/07/09 | 45.5500 |
2024/07/08 | 45.4200 |
2024/07/05 | 45.0600 |
2024/07/04 | 45.1800 |
2024/07/03 | 44.6900 |
2024/07/02 | 44.4000 |
2024/07/01 | 44.5400 |
2024/06/28 | 44.5100 |
2024/06/27 | 44.4100 |
2024/06/26 | 44.4300 |
2024/06/25 | 44.4000 |
2024/06/24 | 44.2900 |
2024/06/21 | 44.8100 |
2024/06/20 | 44.9300 |
2024/06/19 | 44.6900 |
2024/06/18 | 44.1600 |
2024/06/17 | 43.8600 |
2024/06/14 | 43.9700 |
2024/06/13 | 43.6700 |
2024/06/12 | 43.2500 |
2024/06/11 | 43.0000 |
2024/06/07 | 43.1700 |
2024/06/06 | 43.1300 |
2024/06/05 | 42.6600 |
2024/06/04 | 42.5500 |
2024/06/03 | 42.8700 |
2024/05/31 | 42.4300 |
2024/05/30 | 42.6100 |
2024/05/29 | 42.9700 |
2024/05/28 | 43.3000 |
2024/05/27 | 43.2900 |
2024/05/24 | 42.8000 |
2024/05/23 | 42.8400 |
2024/05/22 | 42.8000 |
2024/05/21 | 42.4200 |
2024/05/20 | 42.6300 |
2024/05/17 | 42.6400 |
2024/05/16 | 42.7300 |
2024/05/15 | 42.5500 |
2024/05/14 | 42.4200 |
2024/05/13 | 42.1800 |
2024/05/10 | 42.0300 |
2024/05/09 | 41.7700 |
2024/05/08 | 41.9500 |
2024/05/07 | 41.8200 |
2024/05/06 | 41.6400 |
2024/05/03 | 41.3900 |
2024/05/02 | 41.2900 |
2024/04/30 | 41.6100 |
2024/04/29 | 41.7300 |
2024/04/26 | 41.2500 |
2024/04/25 | 40.8900 |
2024/04/24 | 41.2900 |
2024/04/23 | 40.6500 |
2024/04/22 | 40.4300 |
2024/04/19 | 40.5600 |
2024/04/18 | 41.5300 |
2024/04/17 | 41.4100 |
2024/04/16 | 41.0500 |
2024/04/15 | 42.0000 |
2024/04/12 | 42.4400 |
2024/04/11 | 42.4700 |
2024/04/10 | 42.5600 |
2024/04/09 | 42.5500 |
2024/04/08 | 42.0200 |
2024/04/03 | 41.9800 |
2024/04/02 | 42.1000 |
2024/04/01 | 41.8300 |
2024/03/29 | 41.9000 |
2024/03/28 | 41.7000 |
2024/03/27 | 41.8500 |
2024/03/26 | 41.7600 |
2024/03/25 | 41.8400 |
2024/03/22 | 41.7600 |
2024/03/21 | 41.9300 |
日期 | 淨值 |
---|---|
2024/03/20 | 41.4300 |
2024/03/19 | 41.5000 |
2024/03/18 | 41.6000 |
2024/03/15 | 41.4200 |
2024/03/14 | 41.6900 |
2024/03/13 | 41.6800 |
2024/03/12 | 41.6500 |
2024/03/11 | 41.4400 |
2024/03/08 | 41.4700 |
2024/03/07 | 41.4400 |
2024/03/06 | 41.2100 |
2024/03/05 | 41.1200 |
2024/03/04 | 41.0200 |
2024/03/01 | 40.6600 |
2024/02/29 | 40.7700 |
2024/02/27 | 40.4800 |
2024/02/26 | 40.6200 |
2024/02/23 | 40.6200 |
2024/02/22 | 40.5100 |
2024/02/21 | 40.2600 |
2024/02/20 | 40.3900 |
2024/02/19 | 40.1800 |
2024/02/17 | 40.1300 |
2024/02/16 | 40.1300 |
2024/02/15 | 40.1000 |
2024/02/07 | 39.6000 |
2024/02/06 | 39.6000 |
2024/02/05 | 39.6000 |
2024/02/02 | 39.5500 |
2024/02/01 | 39.4100 |
2024/01/31 | 39.2000 |
2024/01/30 | 39.3400 |
2024/01/29 | 39.4700 |
2024/01/26 | 39.2600 |
2024/01/25 | 39.2600 |
2024/01/24 | 39.1500 |
2024/01/23 | 39.0900 |
2024/01/22 | 39.0400 |
2024/01/19 | 38.8700 |
2024/01/18 | 38.3000 |
2024/01/17 | 38.2400 |
2024/01/16 | 38.5300 |
2024/01/15 | 38.9000 |
2024/01/12 | 38.8700 |
2024/01/11 | 38.9000 |
2024/01/10 | 38.8100 |
2024/01/09 | 38.9500 |
2024/01/08 | 39.0300 |
2024/01/05 | 38.9500 |
2024/01/04 | 39.0200 |
2024/01/03 | 39.0100 |
2024/01/02 | 39.4700 |
2023/12/29 | 39.5900 |
2023/12/28 | 39.6000 |
2023/12/27 | 39.5700 |
2023/12/26 | 39.3900 |
2023/12/25 | 39.1900 |
2023/12/22 | 39.1400 |
2023/12/21 | 39.0900 |
2023/12/20 | 39.1800 |
2023/12/19 | 39.1200 |
2023/12/18 | 39.2000 |
2023/12/15 | 39.2100 |
2023/12/14 | 39.1400 |
2023/12/13 | 38.8200 |
2023/12/12 | 38.8100 |
2023/12/11 | 38.8100 |
2023/12/08 | 38.8300 |
2023/12/07 | 38.6500 |
2023/12/06 | 38.7700 |
2023/12/05 | 38.6900 |
2023/12/04 | 38.8400 |
2023/12/01 | 38.8900 |
2023/11/30 | 38.9500 |
2023/11/29 | 38.8800 |
2023/11/28 | 38.9200 |
2023/11/27 | 38.6200 |
2023/11/24 | 38.8800 |
2023/11/23 | 38.8800 |
2023/11/22 | 38.9200 |
2023/11/21 | 39.0800 |
2023/11/20 | 38.7900 |
2023/11/17 | 38.7800 |
2023/11/16 | 38.7600 |
2023/11/15 | 38.7300 |
2023/11/14 | 38.4100 |
2023/11/13 | 38.3400 |
2023/11/10 | 38.1700 |
2023/11/09 | 38.3400 |
2023/11/08 | 38.2900 |
2023/11/07 | 38.1700 |
2023/11/06 | 38.1800 |
2023/11/03 | 37.9400 |
2023/11/02 | 37.7500 |
2023/11/01 | 37.2700 |
2023/10/31 | 37.1900 |
2023/10/30 | 37.4400 |
2023/10/27 | 37.3900 |
2023/10/26 | 37.3200 |
2023/10/25 | 37.7100 |
2023/10/24 | 37.6100 |
2023/10/23 | 37.5200 |
2023/10/20 | 37.7600 |
2023/10/19 | 37.8600 |
2023/10/18 | 37.9300 |
2023/10/17 | 38.2200 |
2023/10/16 | 38.3100 |
2023/10/13 | 38.5000 |
2023/10/12 | 38.6000 |
2023/10/11 | 38.3800 |
2023/10/06 | 38.1500 |
2023/10/05 | 38.0500 |
2023/10/04 | 37.8200 |
2023/10/03 | 38.1000 |
2023/10/02 | 38.3200 |
2023/09/28 | 38.0200 |
2023/09/27 | 37.9900 |
2023/09/26 | 37.9600 |
2023/09/25 | 38.0900 |
2023/09/23 | 37.9700 |
2023/09/22 | 37.9700 |
2023/09/21 | 37.8400 |
2023/09/20 | 38.1800 |
2023/09/19 | 38.3300 |
附註: | 註1: | 基金績效計算皆有考慮配息,基金配息率不代表基金報酬率,且過去配息率不代表未來配息率。所有基金績效,均為過去績效,不代表未來之績效表現,亦不保證基金之最低投資收益。 |
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註2: | 基金淨值可能因市場因素而上下波動,基金淨值僅供參考,實際以基金公司公告之淨值為準;部份基金採雙軌報價,實際交易以基金公司所公告的買回價/賣出價為計算基礎。 |
註3: | 上述短線交易規定資料僅供參考,實際規定應以基金公開說明書為主。 |
註4: | 境內基金經行政院金融監督管理委員會核准在國內募集及銷售,惟不表示絕無風險。基金經理公司以往之經理績效不保證基金之最低投資收益;基金經理公司除盡善良管理人之注意義務外,不負責本基金之盈虧,亦不保證最低之收益,投資人申購前應詳閱基金公開說明書。 |
註5: | 依金管會規定基金投資大陸證券市場之有價證券不得超過本基金資產淨值之10%,當該基金投資地區包含中國大陸及香港,基金淨值可能因為大陸地區之法令、政治或經濟環境改變而受不同程度之影響。 |
註6: | 上述資料只供參考用途,嘉實資訊自當盡力提供正確訊息,但如有錯漏或疏忽,本公司或關係企業與其任何董事或任何受僱人,恕不負任何法律責任。 |
註7: | 本網站所提供之基金資料僅供參考,實際內容應依各基金公司公告資料為準。 |