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華寶穩健目標風險三個月持有期混合(FOF) 013150
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凈值日期單位凈值(元)累計凈值(元)
2022-01-07 0.998700000.99870000
2022-01-06 0.999500000.99950000
2022-01-05 1.000800001.00080000
2022-01-04 1.003300001.00330000
2021-12-31 1.004700001.00470000
2021-12-30 1.003800001.00380000
2021-12-29 1.002400001.00240000
2021-12-28 1.004200001.00420000
2021-12-27 1.003400001.00340000
2021-12-24 1.003700001.00370000
2021-12-23 1.004300001.00430000
2021-12-22 1.003500001.00350000
2021-12-21 1.003000001.00300000
2021-12-20 1.002000001.00200000
2021-12-17 1.004000001.00400000
2021-12-16 1.005500001.00550000
2021-12-15 1.004800001.00480000
2021-12-14 1.005400001.00540000
2021-12-13 1.006000001.00600000
2021-12-10 1.005400001.00540000
2021-12-09 1.005800001.00580000
2021-12-08 1.004400001.00440000
2021-12-07 1.003100001.00310000
2021-12-06 1.003200001.00320000
2021-12-03 1.003400001.00340000
2021-12-02 1.002500001.00250000
2021-12-01 1.002800001.00280000
2021-11-26 1.003000001.00300000
2021-11-19 1.002300001.00230000
2021-11-12 1.001400001.00140000
607 條記錄    每頁 30 條    頁次:20 / 21   
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