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基金凈值
 
長盛同輝深證100等權重指數A 150108
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凈值日期單位凈值(元)累計凈值(元)
2017-09-12 1.070000001.36470000
2017-09-11 1.070000001.40450000
2017-09-08 1.069000001.40320000
2017-09-07 1.069000001.40320000
2017-09-06 1.069000001.40320000
2017-09-05 1.069000001.40320000
2017-09-04 1.068000001.40190000
2017-09-01 1.068000001.40190000
2017-08-31 1.068000001.40190000
2017-08-30 1.068000001.40190000
2017-08-29 1.067000001.40060000
2017-08-28 1.067000001.40060000
2017-08-25 1.067000001.40060000
2017-08-24 1.066000001.39930000
2017-08-23 1.066000001.39930000
2017-08-22 1.066000001.39930000
2017-08-21 1.066000001.39930000
2017-08-18 1.065000001.39800000
2017-08-17 1.065000001.39800000
2017-08-16 1.065000001.39800000
2017-08-15 1.065000001.39800000
2017-08-14 1.064000001.39670000
2017-08-11 1.064000001.39670000
2017-08-10 1.064000001.39670000
2017-08-09 1.063000001.39540000
2017-08-08 1.063000001.39540000
2017-08-07 1.063000001.39540000
2017-08-04 1.063000001.39540000
2017-08-03 1.062000001.39400000
2017-08-02 1.062000001.39400000
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