Funds Center統一系列基金
統一系列基金
選擇其他基金:
找收益 首選中資美元債
(基金之配息來源可能為本金)
近30日淨值表
日期 |
基金淨值 |
基金漲跌 |
基金漲跌幅 |
114/06/19 |
8.8818 |
0.0188 |
0.21% |
114/06/18 |
8.8630 |
0.0042 |
0.05% |
114/06/17 |
8.8588 |
0.0113 |
0.13% |
114/06/16 |
8.8475 |
-0.0274 |
-0.31% |
114/06/13 |
8.8749 |
-0.0084 |
-0.09% |
114/06/12 |
8.8833 |
-0.0591 |
-0.66% |
114/06/11 |
8.9424 |
0.0127 |
0.14% |
114/06/10 |
8.9297 |
0.0236 |
0.27% |
114/06/09 |
8.9061 |
0.0265 |
0.30% |
114/06/06 |
8.8796 |
0.0076 |
0.09% |
114/06/05 |
8.8720 |
-0.0007 |
-0.01% |
114/06/04 |
8.8727 |
-0.0118 |
-0.13% |
114/06/03 |
8.8845 |
-0.0054 |
-0.06% |
114/06/02 |
8.8899 |
-0.0095 |
-0.11% |
114/05/29 |
8.8994 |
0.0132 |
0.15% |
114/05/28 |
8.8862 |
-0.0106 |
-0.12% |
114/05/27 |
8.8968 |
0.0174 |
0.20% |
114/05/26 |
8.8794 |
-0.0191 |
-0.21% |
114/05/23 |
8.8985 |
-0.0065 |
-0.07% |
114/05/22 |
8.9050 |
-0.0339 |
-0.38% |
114/05/21 |
8.9389 |
-0.0119 |
-0.13% |
114/05/20 |
8.9508 |
-0.0050 |
-0.06% |
114/05/19 |
8.9558 |
-0.0115 |
-0.13% |
114/05/16 |
8.9673 |
0.0075 |
0.08% |
114/05/15 |
8.9598 |
-0.0085 |
-0.09% |
114/05/14 |
8.9683 |
-0.0325 |
-0.36% |
114/05/13 |
9.0008 |
0.0369 |
0.41% |
114/05/12 |
8.9639 |
0.0448 |
0.50% |
114/05/09 |
8.9191 |
0.0053 |
0.06% |
114/05/08 |
8.9138 |
0.0050 |
0.06% |