| 聯博全球非投資等級債券基金TA配息(日圓)(基金之配息來源可能為本金及收益平準金)-近30日淨值 |
| 日期 | 淨值 |
| 03/31 |
925.4300 |
| 03/30 |
925.2900 |
| 03/27 |
924.4600 |
| 03/26 |
928.9300 |
| 03/25 |
933.7100 |
| 03/24 |
931.0500 |
| 03/23 |
931.5400 |
| 03/20 |
929.2500 |
| 03/19 |
934.3000 |
| 03/18 |
936.2800 |
|
| 日期 | 淨值 |
| 03/17 |
938.4500 |
| 03/16 |
936.0700 |
| 03/13 |
934.3200 |
| 03/12 |
938.4400 |
| 03/11 |
943.1300 |
| 03/10 |
945.7900 |
| 03/09 |
943.0800 |
| 03/06 |
944.1900 |
| 03/05 |
948.0100 |
| 03/04 |
949.9700 |
|
| 日期 | 淨值 |
| 03/03 |
947.5200 |
| 03/02 |
950.1000 |
| 02/26 |
953.5000 |
| 02/25 |
958.6900 |
| 02/24 |
958.2500 |
| 02/23 |
958.9000 |
| 02/13 |
958.3300 |
| 02/12 |
958.1600 |
| 02/11 |
958.8900 |
| 02/10 |
959.3300 |
|
|