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群益印度中小基金N類型(人民幣)-近30日淨值
日期 淨值 漲/跌 漲跌幅(%)
2026/06/05 21.0860 -0.0353 -0.17
2026/06/04 21.1213 0.1547 0.74
2026/06/03 20.9666 -0.1173 -0.56
2026/06/02 21.0839 0.0615 0.29
2026/06/01 21.0224 -0.2644 -1.24
2026/05/29 21.2868 -0.2215 -1.03
2026/05/27 21.5083 -0.0236 -0.11
2026/05/26 21.5319 0.0769 0.36
2026/05/25 21.4550 0.2738 1.29
2026/05/22 21.1812 0.0591 0.28
2026/05/21 21.1221 0.1446 0.69
2026/05/20 20.9775 0.0553 0.26
2026/05/19 20.9222 0.0636 0.3
2026/05/18 20.8586 -0.176 -0.84
2026/05/15 21.0346 -0.023 -0.11
日期 淨值 漲/跌 漲跌幅(%)
2026/05/14 21.0576 0.3188 1.54
2026/05/13 20.7388 0.1173 0.57
2026/05/12 20.6215 -0.6304 -2.97
2026/05/11 21.2519 -0.3411 -1.58
2026/05/08 21.5930 -0.1243 -0.57
2026/05/07 21.7173 0.3848 1.8
2026/05/06 21.3325 0.2882 1.37
2026/05/05 21.0443 0.0987 0.47
2026/05/04 20.9456 0.0801 0.38
2026/04/30 20.8655 -0.1912 -0.91
2026/04/29 21.0567 0.0266 0.13
2026/04/28 21.0301 -0.0725 -0.34
2026/04/27 21.1026 0.1773 0.85
2026/04/24 20.9253 -0.1882 -0.89
2026/04/23 21.1135 -0.1521 -0.72