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復華全球平衡基金/台幣
| 幣別 |
淨值 |
漲跌 |
漲跌比例 |
今年以來 |
日期 |
| 台幣 |
40.6500 |
0.3000 |
0.74% |
36.04% |
2025/12/24 |
|
|
| 2015 |
2016 |
2017 |
2018 |
2019 |
2020 |
2021 |
2022 |
2023 |
2024 |
| 1.99% |
2.35% |
12.88% |
-10.62% |
12.10% |
29.41% |
7.15% |
-18.42% |
18.47% |
10.38% |
| 日期 |
淨值 |
漲跌比例 |
日期 |
淨值 |
漲跌比例 |
| 2025/12/24 |
40.6500 |
0.74% |
2025/12/10 |
39.9900 |
1.73% |
| 2025/12/23 |
40.3500 |
0.47% |
2025/12/09 |
39.3100 |
0.61% |
| 2025/12/22 |
40.1600 |
1.95% |
2025/12/08 |
39.0700 |
0.44% |
| 2025/12/19 |
39.3900 |
1.89% |
2025/12/05 |
38.9000 |
0.65% |
| 2025/12/18 |
38.6600 |
1.18% |
2025/12/04 |
38.6500 |
0.29% |
| 2025/12/17 |
38.2100 |
-0.57% |
2025/12/03 |
38.5400 |
-0.08% |
| 2025/12/16 |
38.4300 |
-1.03% |
2025/12/02 |
38.5700 |
-0.75% |
| 2025/12/15 |
38.8300 |
-0.21% |
2025/12/01 |
38.8600 |
-1.07% |
| 2025/12/12 |
38.9100 |
-2.41% |
2025/11/28 |
39.2800 |
1.32% |
| 2025/12/11 |
39.8700 |
-0.30% |
2025/11/26 |
38.7700 |
1.02% |
基金績效 (可點按欄位名稱排序)
* 基金報酬率包含配息
(若未註明"*",則基金報酬率不包含配息,對於有配息之基金,將造成總報酬率數值低估。)
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