請選擇期間
日至
群益大印度基金N類型(台幣)-近30日淨值
日期 淨值 漲/跌 漲跌幅(%)
2026/06/05 17.2800 0.02 0.12
2026/06/04 17.2600 0.14 0.82
2026/06/03 17.1200 -0.02 -0.12
2026/06/02 17.1400 0.11 0.65
2026/06/01 17.0300 -0.23 -1.33
2026/05/29 17.2600 -0.1 -0.58
2026/05/27 17.3600 0.09 0.52
2026/05/26 17.2700 0.04 0.23
2026/05/25 17.2300 0.22 1.29
2026/05/22 17.0100 0.14 0.83
2026/05/21 16.8700 0.16 0.96
2026/05/20 16.7100 0.12 0.72
2026/05/19 16.5900 0 0
2026/05/18 16.5900 -0.19 -1.13
2026/05/15 16.7800 -0.1 -0.59
日期 淨值 漲/跌 漲跌幅(%)
2026/05/14 16.8800 0.3 1.81
2026/05/13 16.5800 0.17 1.04
2026/05/12 16.4100 -0.44 -2.61
2026/05/11 16.8500 -0.28 -1.63
2026/05/08 17.1300 -0.11 -0.64
2026/05/07 17.2400 0.34 2.01
2026/05/06 16.9000 0.2 1.2
2026/05/05 16.7000 0.06 0.36
2026/05/04 16.6400 0.17 1.03
2026/04/30 16.4700 -0.13 -0.78
2026/04/29 16.6000 0.05 0.3
2026/04/28 16.5500 -0.08 -0.48
2026/04/27 16.6300 0.13 0.79
2026/04/24 16.5000 -0.18 -1.08
2026/04/23 16.6800 -0.15 -0.89