日期 | 淨值 |
09/05 | 11.1190 | 09/04 | 11.0973 | 09/03 | 11.0802 | 09/02 | 11.0703 | 08/29 | 11.0766 | 08/28 | 11.0761 | 08/27 | 11.0747 | 08/26 | 11.0627 | 08/25 | 11.0507 | 08/22 | 11.0565 | |
日期 | 淨值 |
08/21 | 11.0208 | 08/20 | 11.0333 | 08/19 | 11.0299 | 08/18 | 11.0273 | 08/15 | 11.0282 | 08/14 | 11.0305 | 08/13 | 11.0441 | 08/12 | 11.0233 | 08/11 | 11.0131 | 08/08 | 11.0092 | |