强积金/退休金

成分基金资料/价格

亚洲债券基金 (ASBF)

Pages

  • 页数 1 of 77
估值日
(月/日/年)
单位价格
(港元)
02/04/202526.4306
02/03/202526.4230
01/28/202526.4186
01/27/202526.4105
01/24/202526.3270
01/23/202526.2984
01/22/202526.3272
01/21/202526.3442
01/20/202526.2660
01/17/202526.2686
01/16/202526.2712
01/15/202526.2196
01/14/202526.0667
01/13/202526.0549
01/10/202526.1102
01/09/202526.1660
01/08/202526.1419
01/07/202526.1319
01/06/202526.1712
01/03/202526.2209
01/02/202526.2423
12/31/202426.2174
12/30/202426.1920
12/27/202426.1309
12/24/202426.1665
12/23/202426.1869
12/20/202426.2295
12/19/202426.2080
12/18/202426.3175
12/17/202426.3988
12/16/202426.4072
12/13/202426.4179
12/12/202426.4814
12/11/202426.5410
12/10/202426.5758
12/09/202426.6034
12/06/202426.6379
12/05/202426.6097
12/04/202426.6105
12/03/202426.5680
12/02/202426.5861
11/29/202426.5706
11/28/202426.5189
11/27/202426.5100
11/26/202426.4536
11/25/202426.4714
11/22/202426.3239
11/21/202426.3281
11/20/202426.3460
11/19/202426.3717

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