請選擇期間
日至
PGIM保德信大中華基金(美元)-近30日淨值
日期 淨值 漲/跌 漲跌幅(%)
2020/06/15 11.8500 -0.16 -1.33
2020/06/12 12.0100 0.02 0.17
2020/06/11 11.9900 -0.12 -0.99
2020/06/10 12.1100 0.15 1.25
2020/06/09 11.9600 0.09 0.76
2020/06/08 11.8700 -0.06 -0.5
2020/06/05 11.9300 0.1 0.85
2020/06/04 11.8300 0.06 0.51
2020/06/03 11.7700 0.07 0.6
2020/06/02 11.7000 0.03 0.26
2020/06/01 11.6700 0.32 2.82
2020/05/29 11.3500 0.12 1.07
2020/05/28 11.2300 -0.01 -0.09
2020/05/27 11.2400 -0.19 -1.66
2020/05/26 11.4300 0.2 1.78
日期 淨值 漲/跌 漲跌幅(%)
2020/05/25 11.2300 0.06 0.54
2020/05/22 11.1700 -0.41 -3.54
2020/05/21 11.5800 -0.08 -0.69
2020/05/20 11.6600 -0.04 -0.34
2020/05/19 11.7000 0.15 1.3
2020/05/18 11.5500 0.01 0.09
2020/05/15 11.5400 0 0
2020/05/14 11.5400 -0.1 -0.86
2020/05/13 11.6400 0.04 0.34
2020/05/12 11.6000 0.02 0.17
2020/05/11 11.5800 0.01 0.09
2020/05/08 11.5700 0.15 1.31
2020/05/07 11.4200 0.05 0.44
2020/05/06 11.3700 -0.09 -0.79
2020/04/30 11.4600 0.09 0.79