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      2. 基金產品

        基金名稱 基金代碼 產品類型 風險等級 凈值日期 單位凈值 累計凈值 日漲跌
        價值先鋒 008135 混合型 R3 2021-05-07 1.3024 1.3024 -2.89%
        穩健債券A 000104 債券型 R2 2021-05-07 1.1390 1.3490 0.02%
        穩健債券C 006258 債券型 R2 2021-05-07 1.1459 1.1459 0.01%
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