強積金/退休金

成分基金資料/價格

環球均衡基金 (GLSF)

Pages

  • 頁數 1 of 77
估值日
(月/日/年)
單位價格
(港元)
09/17/202422.4927
09/16/202422.5026
09/13/202422.4425
09/12/202422.3448
09/11/202422.2378
09/10/202422.2117
09/09/202422.1945
09/05/202422.2967
09/04/202422.3156
09/03/202422.3613
09/02/202422.4340
08/30/202422.5083
08/29/202422.4464
08/28/202422.4473
08/27/202422.5019
08/26/202422.5028
08/23/202422.5054
08/22/202422.3804
08/21/202422.3812
08/20/202422.3552
08/19/202422.3202
08/16/202422.2240
08/15/202422.0721
08/14/202422.0640
08/13/202421.9931
08/12/202421.8417
08/09/202421.8263
08/08/202421.6925
08/07/202421.6485
08/06/202421.5956
08/05/202421.5336
08/02/202421.8678
08/01/202422.0301
07/31/202422.1297
07/30/202421.8517
07/29/202421.8975
07/26/202421.8372
07/25/202421.7572
07/24/202421.9108
07/23/202422.0196
07/22/202422.0833
07/19/202422.0231
07/18/202422.1764
07/17/202422.2491
07/16/202422.2589
07/15/202422.2957
07/12/202422.3521
07/11/202422.2361
07/10/202422.0661
07/09/202421.9860

本網站使用 Cookies以優化您的瀏覽體驗。閣下使用本網站即表示同意由Cookies衍生之私隱政策。詳情請參閱本網站所附載之條款。

接受及關閉X