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群益潛力收益多重資產基金NA累積型(人民幣)(本子基金有相當比重投資於非投資等級之高風險債券且基金之配息來源可能為本金)-近30日淨值
日期 淨值 漲/跌 漲跌幅(%)
2026/06/05 16.7371 -0.8411 -4.78
2026/06/04 17.5782 -0.1264 -0.71
2026/06/03 17.7046 0.03 0.17
2026/06/02 17.6746 0.1181 0.67
2026/06/01 17.5565 0.1555 0.89
2026/05/29 17.4010 0.0893 0.52
2026/05/28 17.3117 0.036 0.21
2026/05/27 17.2757 -0.0155 -0.09
2026/05/26 17.2912 0.2864 1.68
2026/05/22 17.0048 0.0335 0.2
2026/05/21 16.9713 0.1917 1.14
2026/05/20 16.7796 0.1625 0.98
2026/05/19 16.6171 -0.1071 -0.64
2026/05/18 16.7242 -0.1457 -0.86
2026/05/15 16.8699 -0.3097 -1.8
日期 淨值 漲/跌 漲跌幅(%)
2026/05/14 17.1796 0.033 0.19
2026/05/13 17.1466 0.1455 0.86
2026/05/12 17.0011 -0.1063 -0.62
2026/05/11 17.1074 0.1201 0.71
2026/05/08 16.9873 0.1576 0.94
2026/05/07 16.8297 -0.1028 -0.61
2026/05/06 16.9325 0.2614 1.57
2026/05/05 16.6711 0.1854 1.12
2026/05/04 16.4857 0.0846 0.52
2026/04/30 16.4011 0.1715 1.06
2026/04/29 16.2296 -0.0177 -0.11
2026/04/28 16.2473 -0.1188 -0.73
2026/04/27 16.3661 0.0522 0.32
2026/04/24 16.3139 0.1363 0.84
2026/04/23 16.1776 0.0255 0.16