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加拿大 - 基金

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 名称代码最新价涨跌幅总资产时间
 RBC Canadian Dividend Fund Series I0P0000.97.483+0.03%20.56B29/04 
 RBC Canadian Dividend Fund Series D0P0000.96.514+0.03%20.56B29/04 
 RBC Canadian Dividend Fund Series D0P0001.70.636+0.06%20.56B29/04 
 RBC Canadian Dividend Fund Series F0P0000.99.285+0.03%20.56B29/04 
 RBC Canadian Dividend Fund Series F0P0001.72.665+0.06%20.56B29/04 
 RBC Select Growth Portfolio Series T50P0000.27.040+0.29%15.96B29/04 
 RBC Select Growth Portfolio Series A0P0000.37.243+0.29%15.96B29/04 
 RBC Select Growth Portfolio Series A0P0001.27.257+0.32%15.96B29/04 
 RBC Select Growth Portfolio Series F0P0000.37.746+0.30%15.96B29/04 
 RBC Select Growth Portfolio Series F0P0001.27.626+0.33%15.96B29/04 
 PH N US Multi-Style All-Cap Equity D0P0000.25.886+0.14%8.51B29/04 
 PH N US Multi-Style All-Cap Equity F0P0000.25.799+0.14%8.51B29/04 
 RBC US Dividend Series F0P0000.40.632+0.04%6.84B29/04 
 RBC US Dividend Series F0P0001.29.738+0.07%6.84B29/04 
 RBC US Dividend Series D0P0000.37.990+0.04%6.84B29/04 
 RBC US Dividend Series D0P0001.27.804+0.07%6.84B29/04 
 RBC European Equity Fund D0P0000.28.890-0.13%6.71B29/04 
 RBC Emerging Markets Equity Sr D0P0001.14.048+0.95%6.52B29/04 
 RBC Emerging Markets Equity Sr F0P0000.19.327+0.92%6.52B29/04 
 RBC Emerging Markets Equity Sr F0P0001.14.145+0.95%6.52B29/04 

卢森堡 - 基金

 名称代码最新价涨跌幅总资产时间
 RBC Funds (Lux) Global Equity Focus Fund Class B0P0001.228.443+1.36%1.76B26/04 
 RBC Funds (Lux) Global Equity Focus Fund Class A0P0001.207.473+1.35%1.76B26/04 
 RBC Funds (Lux) Global Equity Focus Fund Class C0P0001.231.298+1.36%1.76B26/04 
 RBC Funds Lux Emerging Markets Equity Fund O0P0000.155.488+1.59%433.98M26/04 
 RBC Funds Lux Emerging Markets Equity Fund B USD0P0000.166.958+1.59%433.98M26/04 
 RBC Funds Lux Emerging Markets Equity Fund A USD0P0000.150.949+1.59%433.98M26/04 
 RBC Funds (Lux) Asia ex Japan Equity Fund Class 0P0001.194.254+1.61%2.16M15/10 
 RBC Funds (Lux) Asia ex Japan Equity Fund Class 0P0001.154.470+0.74%2.16M29/04 
 RBC Funds (Lux) Asia ex Japan Equity Fund Class 0P0001.141.355+0.74%2.16M29/04