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法盛亞太股票基金 R/A (美元) 
 
| 幣別 | 
淨值 | 
漲跌 | 
漲跌比例 | 
今年以來 | 
日期 | 
 
| 美元 | 
105.7600 | 
1.22 | 
1.17% | 
-7.63% | 
2025/04/10 | 
 
 
 | 
 | 
  
 
 | 
2015 | 
2016 | 
2017 | 
2018 | 
2019 | 
2020 | 
2021 | 
2022 | 
2023 | 
2024 | 
 
| 淨值 | 
-10.29% | 
2.26% | 
28.78% | 
-14.71% | 
18.25% | 
7.27% | 
5.51% | 
-6.61% | 
0.09% | 
9.47% | 
 
| 含息 | 
-10.29% | 
2.26% | 
28.78% | 
-14.71% | 
18.25% | 
7.27% | 
5.51% | 
-6.61% | 
0.09% | 
9.47% | 
 
 
 
 
 
 
| 日期 | 
淨值 | 
漲跌比例 | 
日期 | 
淨值 | 
漲跌比例 | 
 
| 2025/04/10 | 
105.7600 | 
1.17% | 
2025/03/25 | 
114.6600 | 
-0.37% | 
 
| 2025/04/09 | 
104.5400 | 
0.01% | 
2025/03/24 | 
115.0900 | 
0.19% | 
 
| 2025/04/08 | 
104.5300 | 
0.25% | 
2025/03/21 | 
114.8700 | 
-0.35% | 
 
| 2025/04/07 | 
104.2700 | 
-4.93% | 
2025/03/20 | 
115.2700 | 
-0.60% | 
 
| 2025/04/04 | 
109.6800 | 
-3.01% | 
2025/03/19 | 
115.9700 | 
-0.63% | 
 
| 2025/04/01 | 
113.0800 | 
0.44% | 
2025/03/18 | 
116.7100 | 
1.01% | 
 
| 2025/03/31 | 
112.5800 | 
-1.64% | 
2025/03/17 | 
115.5400 | 
1.00% | 
 
| 2025/03/28 | 
114.4600 | 
-0.48% | 
2025/03/14 | 
114.4000 | 
0.79% | 
 
| 2025/03/27 | 
115.0100 | 
-0.27% | 
2025/03/13 | 
113.5000 | 
-0.60% | 
 
| 2025/03/26 | 
115.3200 | 
0.58% | 
2025/03/12 | 
114.1800 | 
-0.71% | 
 
 
基金績效 (可點按欄位名稱排序)
 
 
* 基金報酬率包含配息
 
(若未註明"*",則基金報酬率不包含配息,對於有配息之基金,將造成總報酬率數值低估。)
  
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