友善列印
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| 群益金選報酬平衡基金NA累積型(美元)(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(%) |
| 2025/10/31 |
11.0185 |
-0.0201 |
-0.18 |
| 2025/10/30 |
11.0386 |
0.0158 |
0.14 |
| 2025/10/28 |
11.0228 |
0.013 |
0.12 |
| 2025/10/27 |
11.0098 |
0.1488 |
1.37 |
| 2025/10/23 |
10.8610 |
0.0191 |
0.18 |
| 2025/10/22 |
10.8419 |
-0.0232 |
-0.21 |
| 2025/10/21 |
10.8651 |
-0.0208 |
-0.19 |
| 2025/10/20 |
10.8859 |
0.0804 |
0.74 |
| 2025/10/17 |
10.8055 |
-0.0021 |
-0.02 |
| 2025/10/16 |
10.8076 |
0.003 |
0.03 |
| 2025/10/15 |
10.8046 |
0.0459 |
0.43 |
| 2025/10/14 |
10.7587 |
-0.0344 |
-0.32 |
| 2025/10/13 |
10.7931 |
-0.0453 |
-0.42 |
| 2025/10/09 |
10.8384 |
-0.004 |
-0.04 |
| 2025/10/08 |
10.8424 |
0.0385 |
0.36 |
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| 日期 |
淨值 |
漲/跌 |
漲跌幅(%) |
| 2025/10/03 |
10.8039 |
0.0005 |
0 |
| 2025/10/02 |
10.8034 |
0.0756 |
0.7 |
| 2025/09/30 |
10.7278 |
0.0686 |
0.64 |
| 2025/09/26 |
10.6592 |
-0.0099 |
-0.09 |
| 2025/09/25 |
10.6691 |
-0.0349 |
-0.33 |
| 2025/09/24 |
10.7040 |
-0.028 |
-0.26 |
| 2025/09/23 |
10.7320 |
-0.0029 |
-0.03 |
| 2025/09/22 |
10.7349 |
0.0337 |
0.31 |
| 2025/09/19 |
10.7012 |
0.0305 |
0.29 |
| 2025/09/18 |
10.6707 |
0.0406 |
0.38 |
| 2025/09/17 |
10.6301 |
-0.024 |
-0.23 |
| 2025/09/16 |
10.6541 |
0.0072 |
0.07 |
| 2025/09/15 |
10.6469 |
0.0367 |
0.35 |
| 2025/09/12 |
10.6102 |
0.0214 |
0.2 |
| 2025/09/11 |
10.5888 |
0.0336 |
0.32 |
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