日期 | 淨值 |
07/18 | 13.0321 | 07/17 | 13.0254 | 07/16 | 13.0092 | 07/15 | 13.0352 | 07/14 | 13.0316 | 07/11 | 13.0589 | 07/10 | 13.0626 | 07/09 | 13.0300 | 07/08 | 13.0385 | 07/07 | 13.0727 | |
日期 | 淨值 |
07/04 | 13.0737 | 07/03 | 13.0798 | 07/02 | 13.0797 | 07/01 | 13.1049 | 06/30 | 13.0453 | 06/27 | 13.0392 | 06/26 | 13.0272 | 06/25 | 13.0195 | 06/24 | 12.9926 | 06/20 | 12.9473 | |