日期 | 淨值 |
11/22 | 16.3051 | 11/21 | 16.3044 | 11/20 | 16.3038 | 11/19 | 16.3031 | 11/18 | 16.3024 | 11/15 | 16.3004 | 11/14 | 16.2998 | 11/13 | 16.2992 | 11/12 | 16.2985 | 11/11 | 16.2978 | |
日期 | 淨值 |
11/08 | 16.2959 | 11/07 | 16.2952 | 11/06 | 16.2946 | 11/05 | 16.2939 | 11/04 | 16.2933 | 11/01 | 16.2914 | 10/30 | 16.2901 | 10/29 | 16.2894 | 10/28 | 16.2887 | 10/25 | 16.2866 | |