(6Q22)群益華夏盛世基金(美元)
最新淨值 10.66美元(2025/09/30)
漲跌 0.27 最高淨值(年) 10.66
幅度 2.64% 最低淨值(年) 7.93
淨值圖
近20日淨值
日期淨值漲跌幅(%)
09/3010.662.64
09/2610.38-1.63
09/2510.550.24
09/2410.530.88
09/2310.440.15
09/2210.420.25
09/1910.39-0.49
09/1810.45-0.92
09/1710.541.20
09/1610.420.15
日期淨值漲跌幅(%)
09/1510.400.14
09/1210.390.16
09/1110.371.65
09/1010.200.89
09/0910.110.11
09/0810.10-0.13
09/0510.112.35
09/049.88-1.85
09/0310.07-0.22
09/0210.09-0.80