强积金/退休金

成分基金资料/价格

环球均衡基金 (GLSF)

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  • 页数 1 of 76
估值日
(月/日/年)
单位价格
(港元)
07/25/202421.7572
07/24/202421.9108
07/23/202422.0196
07/22/202422.0833
07/19/202422.0231
07/18/202422.1764
07/17/202422.2491
07/16/202422.2589
07/15/202422.2957
07/12/202422.3521
07/11/202422.2361
07/10/202422.0661
07/09/202421.9860
07/08/202422.0048
07/05/202422.0254
07/04/202422.0082
07/03/202421.9551
07/02/202421.8212
06/28/202421.7707
06/27/202421.8075
06/26/202421.8443
06/25/202421.8991
06/24/202421.8550
06/21/202421.8306
06/20/202421.9393
06/19/202421.9942
06/18/202421.9141
06/17/202421.8519
06/14/202421.8725
06/13/202421.9183
06/12/202421.9462
06/11/202421.8120
06/07/202421.9053
06/06/202422.0322
06/05/202421.9880
06/04/202421.9528
06/03/202421.9357
05/31/202421.7758
05/30/202421.7225
05/29/202421.7413
05/28/202421.9313
05/27/202421.9681
05/24/202421.8897
05/23/202421.9175
05/22/202421.9995
05/21/202422.0634
05/20/202422.1183
05/17/202422.1209
05/16/202422.0858
05/14/202421.9255

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