配息基金快搜

摩根士丹利印度股票基金 A (美元)

最新淨值
67.57
0.13
2026/08/06

淨值走勢圖

近 30 天淨值表

日期 淨值
2026/08/06 67.57
2026/08/05 67.7
2026/08/04 67.44
2026/08/03 67.73
2026/07/31 66.28
2026/07/30 66.22
2026/07/29 66.05
2026/07/28 65.56
2026/07/27 65.3
2026/07/24 63.97
日期 淨值
2026/07/23 63.83
2026/07/22 64.68
2026/07/21 65.61
2026/07/20 65.28
2026/07/17 65.75
2026/07/16 65.26
2026/07/15 65.64
2026/07/14 65.14
2026/07/13 65.96
2026/07/10 66.44
日期 淨值
2026/07/09 65.79
2026/07/08 65.01
2026/07/07 66.5
2026/07/06 66.47
2026/07/03 66.02
2026/07/02 66.03
2026/07/01 65.64
2026/06/30 65.9
2026/06/29 65.76
2026/06/25 65.71