日期 | 淨值 |
09/05 | 13.0432 | 09/04 | 13.0192 | 09/03 | 12.9882 | 09/02 | 12.9957 | 09/01 | 13.0314 | 08/29 | 13.0140 | 08/28 | 13.0162 | 08/27 | 12.9951 | 08/26 | 13.0126 | 08/22 | 12.9742 | |
日期 | 淨值 |
08/21 | 12.9934 | 08/20 | 12.9982 | 08/19 | 13.0214 | 08/18 | 13.0245 | 08/14 | 13.0415 | 08/13 | 13.0217 | 08/12 | 12.9695 | 08/11 | 12.9636 | 08/08 | 12.9529 | 08/07 | 12.9370 | |