請選擇期間
日至
聯邦中國龍基金-NA不配息(台幣)-近30日淨值
日期 淨值 漲/跌 漲跌幅(%)
2025/02/05 10.00 0 0
2025/02/04 10.00 0 0
2025/02/03 10.00 0 0
2025/01/22 10.00 0 0
2025/01/21 10.00 0 0
2025/01/20 10.00 0 0
2025/01/17 10.00 0 0
2025/01/16 10.00 0 0
2025/01/15 10.00 0 0
2025/01/14 10.00 0 0
2025/01/13 10.00 0 0
2025/01/10 10.00 0 0
2025/01/09 10.00 0 0
2025/01/08 10.00 0 0
2025/01/07 10.00 0 0
日期 淨值 漲/跌 漲跌幅(%)
2025/01/06 10.00 0 0
2025/01/03 10.00 0 0
2025/01/02 10.00 0 0
2024/12/31 10.00 0 0
2024/12/30 10.00 0 0
2024/12/27 10.00 0 0
2024/12/26 10.00 0 0
2024/12/25 10.00 0 0
2024/12/24 10.00 0 0
2024/12/23 10.00 0 0
2024/12/20 10.00 0 0
2024/12/19 10.00 0 0
2024/12/18 10.00 0 0
2024/12/17 10.00 0 0
2024/12/16 10.00 -0.18 -1.77