宏利亞洲股票A股基金

幣別 淨值 漲跌 漲跌比例 日期
美元 2.7942 0.0171 0.62% 2010/11/19

宏利亞洲股票A股基金   基金連結(1)


日期 淨值 漲跌比例 日期 淨值 漲跌比例
2010/11/19 2.7942 0.62% 2010/11/05 2.8899 0.56%
2010/11/18 2.7771 2.04% 2010/11/04 2.8739 1.01%
2010/11/17 2.7217 -1.78% 2010/11/03 2.8452 0.87%
2010/11/16 2.7711 -0.57% 2010/11/02 2.8208 2.24%
2010/11/15 2.7870 -1.08% 2010/10/29 2.7591 -0.07%
2010/11/12 2.8174 -2.09% 2010/10/28 2.7609 0.48%
2010/11/11 2.8774 -0.33% 2010/10/27 2.7477 -1.43%
2010/11/10 2.8870 0.04% 2010/10/26 2.7876 0.19%
2010/11/09 2.8859 -0.23% 2010/10/25 2.7824 1.17%
2010/11/08 2.8926 0.09% 2010/10/22 2.7503 0.55%


基金績效 (可點按欄位名稱排序)
名稱 一日 一週 一個月 三個月 六個月 一年 今年以來
宏利亞洲股票A股基金 0.62% -0.82% 2.57% 13.55% 23.18% 15.27% 14.02%
德盛亞洲總回報股票基金─A配息類股 0.66% -0.70% 4.97% 18.75% 30.36% 22.38% 20.57%
德盛安聯亞洲動態策略基金 2.17% -2.39% 2.68% 15.48% 21.84% 15.69% 14.08%
霸菱亞洲增長基金 - 歐元 -0.04% -1.18% 4.02% 7.91% 12.20% 25.01% 17.17%
霸菱亞洲增長基金 - 美元 0.45% -1.06% 2.46% 15.32% 26.30% 15.38% 11.59%
富蘭克林-亞洲成長基金-A股 -0.31% -2.09% 1.16% 17.87% 32.33% 31.63% 26.78%
富蘭克林-亞洲成長基金-B股 -0.32% -2.13% 1.03% 17.51% 31.65% 30.22% 25.52%
匯豐亞洲股票(日本除外)基金 1.87% -3.49% 1.66% 15.04% 22.17% 18.82% 18.55%
ING(L)新亞洲投資基金 -0.65% -1.54% 1.03% 11.19% 21.57% 14.94% 12.39%
景順亞洲棟樑基金 - A股 0.73% -0.46% 1.87% 15.42% 27.25% 17.28% 15.42%
景順亞洲棟樑基金 - C股 0.71% -0.44% 1.88% 15.54% 27.56% N/A% 16.05%
景順亞洲棟樑基金 - A股(分派) 0.74% -0.47% 1.84% 14.95% 26.76% 16.84% 15.03%
景順景順亞洲富強基金 - A股(分派) 0.39% -1.15% 0.78% 13.89% 30.26% N/A% N/A%
景順景順亞洲富強基金 - A股(累積) 0.38% -1.13% 0.85% 14.24% 30.67% N/A% N/A%
景順景順亞洲富強基金 - C股(累積) 0.30% -1.12% 0.83% 14.37% 30.94% N/A% N/A%
瑞士寶盛亞洲股票基金 0.20% -0.98% 1.62% 13.80% 24.32% 13.84% 12.71%
保誠亞洲基金 0.29% -1.74% 0.34% 12.20% 25.24% 15.72% 13.84%
施羅德亞洲收益股票基金 0.26% -1.06% 2.90% 13.89% 25.14% 23.40% 19.40%
基金平均績效 0.39% -1.41% 1.83% 14.81% 26.69% 21.14% 17.97%

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