|
PGIM保德信大中華基金(台幣)-近30日淨值 |
日期 | 淨值 |
11/07 |
32.0900 |
11/06 |
31.2600 |
11/05 |
31.6700 |
11/04 |
31.1000 |
11/01 |
30.6100 |
10/30 |
30.7400 |
10/29 |
31.1100 |
10/28 |
31.2700 |
10/25 |
31.4100 |
10/24 |
31.3900 |
|
日期 | 淨值 |
10/23 |
31.7700 |
10/22 |
31.6500 |
10/21 |
31.4000 |
10/18 |
31.7900 |
10/17 |
30.5200 |
10/16 |
30.7900 |
10/15 |
31.0700 |
10/14 |
31.9100 |
10/09 |
31.4700 |
10/08 |
32.5800 |
|
日期 | 淨值 |
09/30 |
31.2300 |
09/27 |
30.2200 |
09/26 |
29.7600 |
09/25 |
28.8800 |
09/24 |
28.6100 |
09/23 |
27.7200 |
09/20 |
27.5700 |
09/19 |
27.3900 |
09/13 |
26.9300 |
09/12 |
26.8000 |
|