國泰投信基金淨值表:國泰投信-淨值表
國泰投信-淨值表
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國泰國泰基金基金淨值走勢圖
https://www.yesfund.com.tw
日期, 淨值, 漲/跌, 漲跌幅(%). 2023/07/25, 55.50, -0.62, -1.1. 2023/07/24, 56.12, 0.95, 1.72. 2023/07/21, 55.17, 1.47, 2.74. 2023/07/20, 53.70, 0.89, 1.69.
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國泰投信
https://fund.hncb.com.tw
日期, 淨值, 漲/跌, 漲跌幅(%). 2023/07/28, 55.63, 0.81, 1.48. 2023/07/27, 54.82, -0.07, -0.13. 2023/07/26, 54.89, -0.61, -1.1. 2023/07/25, 55.50, -0.62, -1.1.
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國泰投信基金淨值
https://www.stockq.org
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基金總覽
https://www.cathaysite.com.tw
近3 個月最低. 17.73. 近3 個月最高. 23.98. compare_S 比較. 國泰台灣高股息基金(新台幣)-配息B. 國內股票型・ 月配+半年配・ RR4. 最新淨值(8/2). 18.67. 日漲跌(幅).