請選擇期間
日至
群益大印度基金N類型(人民幣)-近30日淨值
日期 淨值 漲/跌 漲跌幅(%)
2026/06/05 11.8720 0.0026 0.02
2026/06/04 11.8694 0.0993 0.84
2026/06/03 11.7701 0.0034 0.03
2026/06/02 11.7667 0.0446 0.38
2026/06/01 11.7221 -0.1575 -1.33
2026/05/29 11.8796 -0.0787 -0.66
2026/05/27 11.9583 0.0645 0.54
2026/05/26 11.8938 0.0344 0.29
2026/05/25 11.8594 0.1661 1.42
2026/05/22 11.6933 0.092 0.79
2026/05/21 11.6013 0.1271 1.11
2026/05/20 11.4742 0.0838 0.74
2026/05/19 11.3904 -0.0351 -0.31
2026/05/18 11.4255 -0.1259 -1.09
2026/05/15 11.5514 -0.0586 -0.5
日期 淨值 漲/跌 漲跌幅(%)
2026/05/14 11.6100 0.2069 1.81
2026/05/13 11.4031 0.0939 0.83
2026/05/12 11.3092 -0.3239 -2.78
2026/05/11 11.6331 -0.2054 -1.74
2026/05/08 11.8385 -0.0789 -0.66
2026/05/07 11.9174 0.2415 2.07
2026/05/06 11.6759 0.1527 1.33
2026/05/05 11.5232 0.0588 0.51
2026/05/04 11.4644 0.1 0.88
2026/04/30 11.3644 -0.1132 -0.99
2026/04/29 11.4776 0.0168 0.15
2026/04/28 11.4608 -0.0534 -0.46
2026/04/27 11.5142 0.0882 0.77
2026/04/24 11.4260 -0.1004 -0.87
2026/04/23 11.5264 -0.095 -0.82