强积金/退休金

成分基金资料/价格

环球债券基金 (GLBF)

Pages

  • 页数 1 of 78
估值日
(月/日/年)
单位价格
(港元)
04/16/202512.0004
04/15/202511.9469
04/14/202511.9335
04/11/202511.8598
04/10/202511.8415
04/09/202511.7487
04/08/202511.7673
04/07/202511.8130
04/03/202512.0161
04/02/202511.8633
04/01/202511.8473
03/31/202511.8084
03/28/202511.7964
03/27/202511.7386
03/26/202511.7444
03/25/202511.7639
03/24/202511.7500
03/21/202511.7850
03/20/202511.8079
03/19/202511.7958
03/18/202511.7866
03/17/202511.7903
03/14/202511.7454
03/13/202511.7576
03/12/202511.7506
03/11/202511.7748
03/10/202511.7804
03/07/202511.7761
03/06/202511.7501
03/05/202511.7647
03/04/202511.7629
03/03/202511.7618
02/28/202511.7446
02/27/202511.7239
02/26/202511.7642
02/25/202511.7480
02/24/202511.7024
02/21/202511.6782
02/20/202511.6513
02/19/202511.6145
02/18/202511.6357
02/17/202511.6786
02/14/202511.6907
02/13/202511.6454
02/12/202511.5799
02/11/202511.6488
02/10/202511.6790
02/07/202511.6918
02/06/202511.7142
02/05/202511.7054

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