景順六年到期特選新興債券基金累積型人民幣
10.3626
人民幣
+0.00 (0.02%)
最新淨值(2025/07/10)
參考指標
JP Morgan Emerging Market Blend Equal Weighted index
參考ETF
新興市場綜合債券ETF (EMBD)
風險評等
RR3
基金類型
債券型
淨值
該檔基金所有級別/幣別
歷史淨值
自訂起始時間
結束時間
| 日期 | 淨值 | 漲跌 | 漲跌幅 | 
|---|---|---|---|
| 2025/07/10 | 10.3626 | +0.0017 | +0.02% | 
| 2025/07/09 | 10.3609 | +0.0006 | +0.01% | 
| 2025/07/08 | 10.3603 | +0.0009 | +0.01% | 
| 2025/07/07 | 10.3594 | +0.0017 | +0.02% | 
| 2025/07/03 | 10.3577 | -0.0014 | -0.01% | 
| 2025/07/02 | 10.3591 | +0.0010 | +0.01% | 
| 2025/07/01 | 10.3581 | -0.0014 | -0.01% | 
| 2025/06/30 | 10.3595 | +0.0014 | +0.01% | 
| 2025/06/27 | 10.3581 | +0.0055 | +0.05% | 
| 2025/06/26 | 10.3526 | +0.0007 | +0.01% | 
| 2025/06/25 | 10.3519 | +0.0009 | +0.01% | 
| 2025/06/24 | 10.351 | -0.0001 | 0.00% | 
| 2025/06/23 | 10.3511 | +0.0018 | +0.02% | 
| 2025/06/20 | 10.3493 | -0.0001 | 0.00% | 
| 2025/06/18 | 10.3494 | +0.0019 | +0.02% | 
| 2025/06/17 | 10.3475 | +0.0025 | +0.02% | 
| 2025/06/16 | 10.345 | +0.0037 | +0.04% | 
| 2025/06/13 | 10.3413 | -0.0001 | 0.00% | 
| 2025/06/12 | 10.3414 | -0.0019 | -0.02% | 
| 2025/06/11 | 10.3433 | +0.0038 | +0.04% | 
| 2025/06/10 | 10.3395 | +0.0015 | +0.01% | 
| 2025/06/09 | 10.338 | +0.0019 | +0.02% | 
| 2025/06/06 | 10.3361 | +0.0013 | +0.01% | 
| 2025/06/05 | 10.3348 | -0.0036 | -0.03% | 
| 2025/06/04 | 10.3384 | +0.0027 | +0.03% | 
| 2025/06/03 | 10.3357 | +0.0005 | +0.00% | 
| 2025/06/02 | 10.3352 | +0.0000 | +0.00% | 
| 2025/05/29 | 10.3352 | +0.0007 | +0.01% | 
| 2025/05/28 | 10.3345 | +0.0001 | +0.00% | 
| 2025/05/27 | 10.3344 | +0.0025 | +0.02% | 
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資料來源: 基金投資目標、基本資料、費用、淨值、歷史配息、資產配置資料來源來自投信投顧公會(https://www.sitca.org.tw) & 基金資訊觀測站(http://www.fundclear.com.tw) & 各基金公司官網。
績效為原幣計算,報酬率已考慮基金配息還原計入。所有基金績效、風險值,均基於過去資料所計算,不代表未來之績效與風險表現,亦不保證基金之最低投資收益。
淨值可能因系統更新作業與實際狀況有所差異,相關淨值與上述基金各項資料僅供參考,所有資訊揭露以基金公司公告為主。ifa.ai 自當盡力提供正確訊息,但如有疏忽或錯誤遺漏,本公司或關係企業與其任何董事或任何受僱人,恕不負任何法律責任。