海外基金淨值表

日期, 淨值, 漲跌幅(%). 11/29, 29.5400, -0.37. 11/28, 29.6500, 2.84. 11/27, 28.8300, -0.65. 11/26, 29.0200, 1.58. 11/23, 28.5700, 0.7. 11/22, 28.3700, 0.