友善列印
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| 群益金選報酬平衡基金NA累積型(人民幣)(本基金有相當比例投資於非投資等級之高風險債券且配息來源可能為本金)-近30日淨值 |
| 日期 |
淨值 |
漲/跌 |
漲跌幅(%) |
| 2026/06/02 |
10.5636 |
-0.0146 |
-0.14 |
| 2026/06/01 |
10.5782 |
0.0504 |
0.48 |
| 2026/05/29 |
10.5278 |
0.0111 |
0.11 |
| 2026/05/28 |
10.5167 |
0.0388 |
0.37 |
| 2026/05/27 |
10.4779 |
0.0573 |
0.55 |
| 2026/05/26 |
10.4206 |
0.114 |
1.11 |
| 2026/05/22 |
10.3066 |
0.0025 |
0.02 |
| 2026/05/21 |
10.3041 |
0.1277 |
1.25 |
| 2026/05/20 |
10.1764 |
0.0402 |
0.4 |
| 2026/05/19 |
10.1362 |
-0.1218 |
-1.19 |
| 2026/05/18 |
10.2580 |
-0.0599 |
-0.58 |
| 2026/05/15 |
10.3179 |
-0.1492 |
-1.43 |
| 2026/05/14 |
10.4671 |
0.0051 |
0.05 |
| 2026/05/13 |
10.4620 |
0.0791 |
0.76 |
| 2026/05/12 |
10.3829 |
-0.0433 |
-0.42 |
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| 日期 |
淨值 |
漲/跌 |
漲跌幅(%) |
| 2026/05/11 |
10.4262 |
0.0336 |
0.32 |
| 2026/05/08 |
10.3926 |
0.0532 |
0.51 |
| 2026/05/07 |
10.3394 |
0.026 |
0.25 |
| 2026/05/06 |
10.3134 |
0.1393 |
1.37 |
| 2026/05/05 |
10.1741 |
0.0645 |
0.64 |
| 2026/05/04 |
10.1096 |
0.0952 |
0.95 |
| 2026/04/30 |
10.0144 |
-0.754 |
-7 |
| 2025/07/23 |
10.7684 |
0.0042 |
0.04 |
| 2025/07/22 |
10.7642 |
-0.0121 |
-0.11 |
| 2025/07/21 |
10.7763 |
0.0108 |
0.1 |
| 2025/07/18 |
10.7655 |
0.0082 |
0.08 |
| 2025/07/17 |
10.7573 |
0.0215 |
0.2 |
| 2025/07/16 |
10.7358 |
0.0224 |
0.21 |
| 2025/07/15 |
10.7134 |
-0.0016 |
-0.01 |
| 2025/07/14 |
10.7150 |
0.0193 |
0.18 |
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