摩根投資基金-多重收益基金(美元對沖)(每月派息) | 先鋒基金交易平台

摩根

9604 摩根投資基金-多重收益基金(美元對沖)(每月派息) (本基金有相當比重投資於非投資等級之高風險債券且配息來源可能為本金)

美元 平衡混合型 > 全球風險等級:3基金註冊地:盧森堡

近一月近三月近半年近一年近二年近三年年初至今
0.91 0.91 3.18 8.32 7.80 16.44 11.33

近期淨值

日期淨值漲跌幅
2019/10/14132.7-0.05
2019/10/11132.770.30
2019/10/10132.370.05
2019/10/09132.31-0.31
2019/10/08132.72-0.23
2019/10/07133.020.11
2019/10/04132.870.23
2019/10/03132.56-0.17
2019/10/02132.78-0.51
2019/10/01133.46-0.05
日期淨值漲跌幅
2019/09/30133.530.06
2019/09/27133.450.07
2019/09/26133.360.15
2019/09/25133.16-0.22
2019/09/24133.450.01
2019/09/23133.44-0.05
2019/09/20133.510.12
2019/09/19133.350.07
2019/09/18133.260.08
2019/09/17133.150.08

配息紀錄

孳息分派基準日除息日期預估孳息款項分派日期除息淨值每單位分派額年化配息率
2019/10/082019/10/092019/10/16132.720.4834.37
2019/09/092019/09/102019/09/17133.470.4834.34
2019/08/072019/08/082019/08/16131.450.4834.41
2019/07/082019/07/092019/07/16133.580.4854.36
2019/06/112019/06/122019/06/19132.10.4854.41
2019/05/072019/05/082019/05/15131.460.4854.43
2019/04/082019/04/092019/04/16131.640.4634.22
2019/03/072019/03/082019/03/15129.420.4634.29
2019/02/082019/02/112019/02/19128.310.4634.33
2019/01/072019/01/082019/01/15124.680.4864.68
2018/12/032018/12/042018/12/11127.70.4864.57
2018/11/072018/11/082018/11/16128.410.4864.54
2018/10/092018/10/102018/10/18130.240.5374.95
2018/09/072018/09/102018/09/18130.640.5374.93
2018/08/072018/08/082018/08/17132.680.5374.86
2018/07/092018/07/102018/07/18131.520.5444.96
2018/06/072018/06/082018/06/19132.130.5444.94
2018/05/072018/05/082018/05/17132.280.5444.93
2018/04/092018/04/102018/04/18131.530.5194.74
2018/03/072018/03/082018/03/16132.130.5194.71
2018/02/072018/02/082018/02/22133.460.5194.67
2018/01/082018/01/092018/01/17137.310.5024.39