
强积金/退休金
成分基金资料/价格
环球债券基金 (GLBF)
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- 页数 1 of 79
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估值日 (月/日/年) | 单位价格 (港元) |
---|---|
07/10/2025 | 12.3295 |
07/09/2025 | 12.3405 |
07/08/2025 | 12.3058 |
07/07/2025 | 12.3708 |
07/04/2025 | 12.4319 |
07/03/2025 | 12.4183 |
07/02/2025 | 12.4381 |
06/30/2025 | 12.4432 |
06/27/2025 | 12.4158 |
06/26/2025 | 12.4312 |
06/25/2025 | 12.3691 |
06/24/2025 | 12.3807 |
06/23/2025 | 12.3032 |
06/20/2025 | 12.2913 |
06/19/2025 | 12.2751 |
06/18/2025 | 12.3064 |
06/17/2025 | 12.3034 |
06/16/2025 | 12.3253 |
06/13/2025 | 12.3145 |
06/12/2025 | 12.3580 |
06/11/2025 | 12.2843 |
06/10/2025 | 12.2526 |
06/09/2025 | 12.2335 |
06/06/2025 | 12.2149 |
06/05/2025 | 12.2827 |
06/04/2025 | 12.2900 |
06/03/2025 | 12.2420 |
06/02/2025 | 12.2612 |
05/30/2025 | 12.2259 |
05/29/2025 | 12.2169 |
05/28/2025 | 12.1702 |
05/27/2025 | 12.2019 |
05/26/2025 | 12.1857 |
05/23/2025 | 12.1523 |
05/22/2025 | 12.0784 |
05/21/2025 | 12.0993 |
05/20/2025 | 12.0886 |
05/19/2025 | 12.0928 |
05/16/2025 | 12.0521 |
05/15/2025 | 12.0363 |
05/14/2025 | 12.0117 |
05/13/2025 | 11.9944 |
05/12/2025 | 11.9742 |
05/09/2025 | 12.0486 |
05/08/2025 | 12.0469 |
05/07/2025 | 12.1009 |
05/06/2025 | 12.0675 |
05/02/2025 | 12.0650 |
04/30/2025 | 12.1228 |
04/29/2025 | 12.1228 |