*若所選資料期間早於基金在台核備日,僅顯示基金在台核備日或系統資料期間至今完整資料。
近30日淨值表
日期 | 淨值(USD) | 漲跌 | 漲跌幅 |
|---|
| 2026/10/09 | 15.0100 | 0.0200 | 0.13% |
| 2026/10/08 | 14.9900 | -0.0100 | -0.07% |
| 2026/10/07 | 15.0000 | -0.0200 | -0.13% |
| 2026/10/06 | 15.0200 | 0.0600 | 0.40% |
| 2026/10/05 | 14.9600 | 0.0000 | 0.00% |
| 2026/10/02 | 14.9600 | 0.0400 | 0.27% |
| 2026/10/01 | 14.9200 | -0.0300 | -0.20% |
| 2026/09/30 | 14.9500 | -0.0100 | -0.07% |
| 2026/09/29 | 14.9600 | -0.0300 | -0.20% |
| 2026/09/28 | 14.9900 | -0.0600 | -0.40% |
| 2026/09/25 | 15.0500 | -0.0400 | -0.27% |
| 2026/09/24 | 15.0900 | -0.0600 | -0.40% |
| 2026/09/23 | 15.1500 | -0.0800 | -0.53% |
| 2026/09/22 | 15.2300 | -0.0100 | -0.07% |
| 2026/09/21 | 15.2400 | 0.0300 | 0.20% |
| 2026/09/18 | 15.2100 | -0.0300 | -0.20% |
| 2026/09/17 | 15.2400 | 0.0300 | 0.20% |
| 2026/09/16 | 15.2100 | 0.0100 | 0.07% |
| 2026/09/15 | 15.2000 | -0.0200 | -0.13% |
| 2026/09/14 | 15.2200 | -0.0300 | -0.20% |
| 2026/09/11 | 15.2500 | 0.0000 | 0.00% |
| 2026/09/10 | 15.2500 | -0.0600 | -0.39% |
| 2026/09/09 | 15.3100 | -0.0300 | -0.20% |
| 2026/09/08 | 15.3400 | 0.0000 | 0.00% |
| 2026/09/04 | 15.3400 | -0.0200 | -0.13% |
| 2026/09/03 | 15.3600 | 0.0200 | 0.13% |
| 2026/09/02 | 15.3400 | 0.0000 | 0.00% |
| 2026/09/01 | 15.3400 | -0.0300 | -0.20% |
| 2026/08/28 | 15.3700 | -0.0100 | -0.07% |
| 2026/08/27 | 15.3800 | 0.0100 | 0.07% |
資料來源:嘉實資訊、中華民國證券投資信託暨顧問商業同業公會、基金資訊觀測站。績效表現為原幣計算至最新公佈淨值日,並將基金配息的部分還原計入報酬率。投資配置以基金公司公佈時間的最新資料為主,本基金說明僅供參考,所有資訊揭露以基金公司公告為主。