聯博-全球多元收益基金AD月配歐元避險級別

8.84歐元0.06(0.68%)
2026/02/06更新
績效 / 
1月0.09%
3月1.72%
1年9.53%
晨星評等

歷史淨值

    30天歷史報價

    日期
    淨值
    漲跌
    漲跌幅(%)
    • 2026/02/06
      8.84
      0.06
      0.68%
    • 2026/02/05
      8.78
      0.03
      0.34%
    • 2026/02/04
      8.81
      0.01
      0.11%
    • 2026/02/03
      8.82
      0.01
      0.11%
    • 2026/02/02
      8.83
      0.01
      0.11%
    • 2026/01/30
      8.82
      0.07
      0.79%
    • 2026/01/29
      8.89
      0.02
      0.22%
    • 2026/01/28
      8.91
      0.01
      0.11%
    • 2026/01/27
      8.90
      0.04
      0.45%
    • 2026/01/26
      8.86
      0.00
      0.00%
    • 2026/01/23
      8.86
      0.02
      0.23%
    • 2026/01/22
      8.84
      0.03
      0.34%
    • 2026/01/21
      8.81
      0.03
      0.34%
    • 2026/01/20
      8.78
      0.08
      0.90%
    • 2026/01/16
      8.86
      0.01
      0.11%
    日期
    淨值
    漲跌
    漲跌幅(%)
    • 2026/01/15
      8.87
      0.00
      0.00%
    • 2026/01/14
      8.87
      0.02
      0.23%
    • 2026/01/13
      8.89
      0.02
      0.23%
    • 2026/01/12
      8.87
      0.01
      0.11%
    • 2026/01/09
      8.86
      0.02
      0.23%
    • 2026/01/08
      8.84
      0.02
      0.23%
    • 2026/01/07
      8.86
      0.00
      0.00%
    • 2026/01/06
      8.86
      0.04
      0.45%
    • 2026/01/05
      8.82
      0.03
      0.34%
    • 2026/01/02
      8.79
      0.02
      0.23%
    • 2025/12/31
      8.77
      0.07
      0.79%
    • 2025/12/30
      8.84
      0.01
      0.11%
    • 2025/12/29
      8.85
      0.02
      0.23%
    • 2025/12/24
      8.83
      0.01
      0.11%
    • 2025/12/23
      8.82
      0.01
      0.11%

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