强积金/退休金

成分基金资料/价格

环球均衡基金 (GLSF)

Pages

  • 页数 1 of 81
估值日
(月/日/年)
单位价格
(港元)
08/20/202525.0856
08/19/202525.0685
08/18/202525.1223
08/15/202525.1453
08/14/202525.1548
08/13/202525.2620
08/12/202525.0405
08/11/202524.9343
08/08/202524.9452
08/07/202524.9369
08/06/202524.8663
08/05/202524.8047
08/04/202524.7520
08/01/202524.6203
07/31/202524.6566
07/30/202524.7642
07/29/202524.8452
07/28/202524.8725
07/25/202524.8922
07/24/202525.0085
07/23/202524.9408
07/22/202524.7815
07/21/202524.7466
07/18/202524.6419
07/17/202524.5803
07/16/202524.4830
07/15/202524.4925
07/14/202524.5020
07/11/202524.4979
07/10/202524.5430
07/09/202524.5258
07/08/202524.4731
07/07/202524.5004
07/04/202524.6091
07/03/202524.6275
07/02/202524.5926
06/30/202524.5938
06/27/202524.5690
06/26/202524.5429
06/25/202524.4368
06/24/202524.4018
06/23/202524.1175
06/20/202524.0570
06/19/202524.0487
06/18/202524.1828
06/17/202524.1923
06/16/202524.2998
06/13/202524.2037
06/12/202524.3825
06/11/202524.3030

本网站使用 Cookies以优化您的浏览体验。阁下使用本网站即表示同意由Cookies衍生之私隐政策。详情请参阅本网站所附载之条款。

接受及关闭X