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統一全球動態多重資產基金-月配型(台幣)(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(%)
2026/06/08 19.0651 0.0278 0.15
2026/06/05 19.0373 -0.9514 -4.76
2026/06/04 19.9887 -0.4099 -2.01
2026/06/03 20.3986 0.2845 1.41
2026/06/02 20.1141 0.2872 1.45
2026/06/01 19.8269 0.3458 1.78
2026/05/29 19.4811 0.2662 1.39
2026/05/28 19.2149 -0.2422 -1.24
2026/05/27 19.4571 -0.0771 -0.39
2026/05/26 19.5342 0.2533 1.31
2026/05/25 19.2809 0.4323 2.29
2026/05/22 18.8486 0.3425 1.85
2026/05/21 18.5061 0.6576 3.68
2026/05/20 17.8485 0.1606 0.91
2026/05/19 17.6879 -0.1864 -1.04
日期 淨值 漲/跌 漲跌幅(%)
2026/05/18 17.8743 -0.2179 -1.2
2026/05/15 18.0922 -0.7777 -4.12
2026/05/14 18.8699 0.0507 0.27
2026/05/13 18.8192 0.0225 0.12
2026/05/12 18.7967 -0.1849 -0.97
2026/05/11 18.9816 0.5162 2.8
2026/05/08 18.4654 -0.0158 -0.09
2026/05/07 18.4812 0.027 0.15
2026/05/06 18.4542 -0.0229 -0.12
2026/05/05 18.4771 0.03 0.16
2026/05/04 18.4471 0.4489 2.49
2026/04/30 17.9982 0.1411 0.79
2026/04/29 17.8571 0.3514 2.01
2026/04/28 17.5057 -0.1495 -0.85
2026/04/27 17.6552 -0.0106 -0.06