| 中國信託樂齡收益平衡基金-A累積型(美元)(本基金有相當比重投資於非投資等級之高風險債券且本基金之配息來源可能為本金)-近30日淨值 |
| 日期 | 淨值 |
| 03/31 |
16.8800 |
| 03/30 |
16.4800 |
| 03/27 |
16.5500 |
| 03/26 |
16.7600 |
| 03/25 |
17.0000 |
| 03/24 |
16.8400 |
| 03/23 |
16.8800 |
| 03/20 |
16.8100 |
| 03/19 |
16.9700 |
| 03/18 |
17.0500 |
|
| 日期 | 淨值 |
| 03/17 |
17.1900 |
| 03/16 |
17.1500 |
| 03/13 |
17.0100 |
| 03/12 |
17.0900 |
| 03/11 |
17.2900 |
| 03/10 |
17.3100 |
| 03/09 |
17.2700 |
| 03/06 |
17.1800 |
| 03/05 |
17.3000 |
| 03/04 |
17.3800 |
|
| 日期 | 淨值 |
| 03/03 |
17.3100 |
| 03/02 |
17.4500 |
| 02/26 |
17.5200 |
| 02/25 |
17.6200 |
| 02/24 |
17.4500 |
| 02/23 |
17.3900 |
| 02/11 |
17.5200 |
| 02/10 |
17.5100 |
| 02/09 |
17.5500 |
| 02/06 |
17.4900 |
|
|