强积金/退休金

成分基金资料/价格

亚洲债券基金 (ASBF)

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  • 页数 1 of 75
估值日
(月/日/年)
单位价格
(港元)
09/04/202426.7072
09/03/202426.6364
09/02/202426.6007
08/30/202426.6100
08/29/202426.6368
08/28/202426.6669
08/27/202426.6741
08/26/202426.6710
08/23/202426.6334
08/22/202426.5911
08/21/202426.6323
08/20/202426.5745
08/19/202426.5258
08/16/202426.4929
08/15/202426.4712
08/14/202426.5161
08/13/202426.4541
08/12/202426.3789
08/09/202426.3616
08/08/202426.3184
08/07/202426.3421
08/06/202426.3868
08/05/202426.4524
08/02/202426.5438
08/01/202426.3631
07/31/202426.2564
07/30/202426.1560
07/29/202426.1284
07/26/202426.0681
07/25/202426.0254
07/24/202426.0229
07/23/202426.0369
07/22/202426.0241
07/19/202426.0422
07/18/202426.0841
07/17/202426.1207
07/16/202426.1097
07/15/202426.0521
07/12/202426.0791
07/11/202426.0438
07/10/202425.9449
07/09/202425.9279
07/08/202425.9266
07/05/202425.9057
07/04/202425.8111
07/03/202425.8072
07/02/202425.7116
06/28/202425.7787
06/27/202425.8186
06/26/202425.8068

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