群益真善美基金-近30日淨值. 日期, 淨值. 03/31, 23.4793. 03/30, 23.3677. 03/29, 23.2108. 03/28, 23.0918. 03/27, 23.3310. 03/24, 23.2669. 03/23, 23.1727.
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