請選擇期間
日至
第一金中概平衡基金-近30日淨值
日期 淨值 漲/跌 漲跌幅(%)
2026/06/08 141.9700 -3.26 -2.24
2026/06/05 145.2300 -2.62 -1.77
2026/06/04 147.8500 -2.43 -1.62
2026/06/03 150.2800 4.06 2.78
2026/06/02 146.2200 -3.42 -2.29
2026/06/01 149.6400 1.13 0.76
2026/05/29 148.5100 2.4 1.64
2026/05/28 146.1100 -5.91 -3.89
2026/05/27 152.0200 0.96 0.64
2026/05/26 151.0600 1.73 1.16
2026/05/25 149.3300 5.73 3.99
2026/05/22 143.6000 5.1 3.68
2026/05/21 138.5000 6.68 5.07
2026/05/20 131.8200 -0.65 -0.49
2026/05/19 132.4700 -3.63 -2.67
日期 淨值 漲/跌 漲跌幅(%)
2026/05/18 136.1000 -0.81 -0.59
2026/05/15 136.9100 -6.27 -4.38
2026/05/14 143.1800 0.85 0.6
2026/05/13 142.3300 -2.39 -1.65
2026/05/12 144.7200 0.44 0.3
2026/05/11 144.2800 5.39 3.88
2026/05/08 138.8900 -4.07 -2.85
2026/05/07 142.9600 1.16 0.82
2026/05/06 141.8000 -0.47 -0.33
2026/05/05 142.2700 -0.6 -0.42
2026/05/04 142.8700 5.66 4.13
2026/04/30 137.2100 2 1.48
2026/04/29 135.2100 0.59 0.44
2026/04/28 134.6200 0.99 0.74
2026/04/27 133.6300 -0.62 -0.46