日期 | 淨值 |
06/03 | 12.0118 | 06/02 | 12.0034 | 05/29 | 11.9903 | 05/28 | 11.9790 | 05/27 | 11.9822 | 05/23 | 11.9363 | 05/22 | 11.9452 | 05/21 | 11.9465 | 05/20 | 12.0014 | 05/19 | 12.0069 | |
日期 | 淨值 |
05/16 | 12.0046 | 05/15 | 11.9888 | 05/14 | 11.9728 | 05/13 | 11.9902 | 05/12 | 11.9714 | 05/09 | 11.9303 | 05/08 | 11.9269 | 05/07 | 11.9249 | 05/06 | 11.9166 | 05/05 | 11.9135 | |