配息基金快搜

摩根士丹利新興領先股票基金 AH (歐元避險)

最新淨值
37.37
0.14
2026/07/10

淨值走勢圖

近 30 天淨值表

日期 淨值
2026/07/10 37.37
2026/07/09 37.23
2026/07/08 36.57
2026/07/07 37.28
2026/07/06 38.29
2026/07/03 38.28
2026/07/02 37.9
2026/07/01 38.08
2026/06/30 38.36
2026/06/29 37.88
日期 淨值
2026/06/26 37.53
2026/06/25 37.86
2026/06/24 37.62
2026/06/22 39.54
2026/06/19 38.9
2026/06/18 38.72
2026/06/17 38.3
2026/06/16 38.31
2026/06/15 38.15
2026/06/12 36.99
日期 淨值
2026/06/11 36.06
2026/06/10 35.95
2026/06/09 36.89
2026/06/08 35.77
2026/06/05 36.25
2026/06/04 37.35
2026/06/03 38.09
2026/06/02 38.07
2026/06/01 37.71
2026/05/29 38.04