越秀房产信托基金
港股通 官网
( 00405.hk)
市盈率991.06市净率0.29市销率2.20股息率8.78%上市时间2005-12-21股价1.01港币 (2.02% , 95.37万港币) 市值50.46亿港币总股本49.96亿上市至今年化投资收益率0.64%累计做空占H股本比例0.00%信托契约根据信託契约分派可分派收入总额加上若干额外项目。
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越秀房产信托基金(00405) - 历史市净率及分位点走势图

最后更新于:2024-07-22

市净率

  • 当前值:0.293
  • 当前分位点6.12%
  • 80%分位点0.638
  • 50%分位点0.507
  • 20%分位点0.336
  • 最大值:0.815
  • 平均值:0.510
  • 最小值:0.239
日期股价市净率分位点20%分位点50%分位点80%分位点
2024-07-221.01港币0.2936.12%0.3360.5070.638
2024-07-190.99港币0.2874.75%0.3360.5090.639
2024-07-181.02港币0.2967.73%0.3360.5090.640
2024-07-171.01港币0.2935.98%0.3370.5090.640
2024-07-161.01港币0.2935.99%0.3370.5100.640
2024-07-151.02港币0.2967.48%0.3390.5110.640
2024-07-121.01港币0.2935.97%0.3390.5130.642
2024-07-110.99港币0.2874.75%0.3390.5140.642
2024-07-100.95港币0.2762.85%0.3390.5140.642
2024-07-090.94港币0.2732.04%0.3390.5140.642
2024-07-080.94港币0.2732.04%0.3410.5180.642
2024-07-050.96港币0.2792.99%0.3420.5240.644
2024-07-040.97港币0.2823.12%0.3420.5260.644
2024-07-030.99港币0.2874.08%0.3420.5280.644
2024-07-020.98港币0.2843.27%0.3420.5280.644
2024-06-280.95港币0.2762.58%0.3420.5320.648
2024-06-270.94港币0.2732.04%0.3420.5330.649
2024-06-260.97港币0.2822.85%0.3430.5330.649
2024-06-250.96港币0.2792.72%0.3440.5340.649
2024-06-240.94港币0.2732.04%0.3440.5350.653
2024-06-210.98港币0.2842.58%0.3440.5360.656
2024-06-201.01港币0.2934.07%0.3440.5370.657
2024-06-191.02港币0.2965.30%0.3440.5380.657
2024-06-181.01港币0.2934.08%0.3440.5380.657