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基金凈值
 
國泰中小板300成長ETF 159917
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凈值日期單位凈值(元)累計凈值(元)
2015-08-26 1.868000001.86800000
2015-08-25 1.873000001.87300000
2015-08-24 1.881000001.88100000
2015-08-21 1.892000001.89200000
2015-08-20 1.898000001.89800000
2015-08-19 1.905000001.90500000
2015-08-18 1.890000001.89000000
2015-08-17 1.934000001.93400000
2015-08-14 1.930000001.93000000
2015-08-13 1.933000001.93300000
2015-08-12 1.922000001.92200000
2015-08-11 1.937000001.93700000
2015-08-10 1.942000001.94200000
2015-08-07 1.900000001.90000000
2015-08-06 1.873000001.87300000
2015-08-05 1.884000001.88400000
2015-08-04 1.904000001.90400000
2015-08-03 1.845000001.84500000
2015-07-31 1.858000001.85800000
2015-07-30 1.847000001.84700000
2015-07-29 1.904000001.90400000
2015-07-28 1.844000001.84400000
2015-07-27 1.867000001.86700000
2015-07-24 2.003000002.00300000
2015-07-23 2.044000002.04400000
2015-07-22 2.004000002.00400000
2015-07-21 1.991000001.99100000
2015-07-20 1.979000001.97900000
2015-07-17 1.959000001.95900000
2015-07-16 1.857000001.85700000
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