強積金/退休金

成分基金資料/價格

大中華股票基金 (GCEF)

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  • 頁數 1 of 70
估值日
(月/日/年)
單位價格
(港元)
06/05/202518.2619
06/04/202518.0610
06/03/202517.8460
06/02/202517.6813
05/30/202517.7962
05/29/202518.0402
05/28/202517.8684
05/27/202517.8458
05/26/202517.9005
05/23/202518.0376
05/22/202518.0436
05/21/202518.1689
05/20/202517.9786
05/19/202517.8202
05/16/202517.9933
05/15/202518.0208
05/14/202518.0890
05/13/202517.6655
05/12/202517.8616
05/09/202517.3733
05/08/202517.2417
05/07/202517.1498
05/06/202517.2291
05/02/202517.0090
04/30/202516.4864
04/29/202516.3475
04/28/202516.2525
04/25/202516.2268
04/24/202516.0587
04/23/202516.1741
04/22/202515.6374
04/17/202515.7015
04/16/202515.5621
04/15/202515.8873
04/14/202515.7845
04/11/202515.5832
04/10/202515.3039
04/09/202514.7336
04/08/202514.8066
04/07/202514.8740
04/03/202516.9479
04/02/202517.1291
04/01/202517.1264
03/31/202516.9549
03/28/202517.4222
03/27/202517.6006
03/26/202517.6608
03/25/202517.6088
03/24/202517.8507
03/21/202517.7880

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