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              估值日期 信托單位凈值(元)
              20240119 0.4204
              20240112 0.4075
              20240105 0.4194
              20231229 0.4229
              20231222 0.4119
              20231215 0.4343
              20231208 0.4385
              20231201 0.4455
              20231124 0.4353
              20231117 0.4445
              20231110 0.4278
              20231103 0.4290
              20231027 0.4417
              20231020 0.4322
              20231013 0.4510
              20230922 0.4295
              20230915 0.4256
              20230908 0.4317
              20230901 0.4177
              20230825 0.4083
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