日期 | 淨值 |
08/01 | 11.09740 | 07/31 | 11.09020 | 07/30 | 11.07390 | 07/29 | 11.07020 | 07/28 | 11.04630 | 07/25 | 11.01890 | 07/24 | 11.00060 | 07/23 | 10.95250 | 07/22 | 10.93940 | 07/21 | 10.92160 | |
日期 | 淨值 |
07/18 | 10.90650 | 07/17 | 10.89670 | 07/16 | 10.89620 | 07/15 | 10.86850 | 07/14 | 10.85180 | 07/11 | 10.85200 | 07/10 | 10.84570 | 07/09 | 10.84250 | 07/08 | 10.87570 | 07/07 | 10.87850 | |