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基金凈值
 
國聯安雙佳信用債券B 150080
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凈值日期單位凈值(元)累計凈值(元)
2015-06-03 1.232000001.23200000
2015-06-02 1.232000001.23200000
2015-06-01 1.231000001.23100000
2015-05-29 1.231000001.23100000
2015-05-28 1.231000001.23100000
2015-05-27 1.230000001.23000000
2015-05-26 1.231000001.23100000
2015-05-25 1.230000001.23000000
2015-05-22 1.226000001.22600000
2015-05-21 1.224000001.22400000
2015-05-20 1.222000001.22200000
2015-05-19 1.222000001.22200000
2015-05-18 1.222000001.22200000
2015-05-15 1.218000001.21800000
2015-05-14 1.217000001.21700000
2015-05-13 1.214000001.21400000
2015-05-12 1.213000001.21300000
2015-05-11 1.212000001.21200000
2015-05-08 1.211000001.21100000
2015-05-07 1.209000001.20900000
2015-05-06 1.209000001.20900000
2015-05-05 1.207000001.20700000
2015-05-04 1.206000001.20600000
2015-04-30 1.205000001.20500000
2015-04-29 1.205000001.20500000
2015-04-28 1.204000001.20400000
2015-04-27 1.203000001.20300000
2015-04-24 1.202000001.20200000
2015-04-23 1.202000001.20200000
2015-04-22 1.202000001.20200000
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