日期, 淨值. 2014/08/13, 7.0000. 2014/08/12, 6.9200. 2014/08/11, 6.8800. 2014/08/08, 6.7700. 2014/08/07, 6.7400. 2014/08/06, 6.8000. 2014/08/05, 6.7900.
fund.bot.com.tw