|
全球
名稱 |
一日 |
一週 |
一個月 |
三個月 |
六個月 |
一年 |
今年以來 |
( 全球型基金 ) |
0.50% |
4.91% |
-4.21% |
-5.79% |
-6.11% |
1.42% |
-5.15% |
( 全球小型股基金 ) |
0.32% |
4.82% |
-5.94% |
-10.26% |
-12.41% |
-5.34% |
-10.25% |
( 全球地產基金 ) |
0.76% |
5.49% |
-2.16% |
-0.89% |
-8.38% |
2.40% |
-2.33% |
( 資產配置基金 ) |
0.58% |
2.89% |
-3.05% |
-2.15% |
-4.28% |
0.86% |
-2.46% |
( 新興市場基金 ) |
0.92% |
5.19% |
-4.71% |
-1.19% |
-7.20% |
0.38% |
-2.21% |
( 金磚四國基金 ) |
0.84% |
4.17% |
-3.79% |
4.78% |
-3.83% |
2.88% |
1.17% |
( 邊境市場基金 ) |
0.45% |
5.79% |
-4.58% |
-4.64% |
-3.92% |
4.69% |
-4.37% |
亞洲
名稱 |
一日 |
一週 |
一個月 |
三個月 |
六個月 |
一年 |
今年以來 |
( 亞洲基金 ) |
0.92% |
5.73% |
-5.88% |
-1.94% |
-9.58% |
0.43% |
-4.28% |
( 新興亞洲基金 ) |
0.82% |
3.06% |
-6.63% |
-4.44% |
-10.83% |
-1.73% |
-6.32% |
( 亞太基金 ) |
0.84% |
3.48% |
-4.31% |
-3.05% |
-7.03% |
1.02% |
-3.10% |
( 亞太(不含日本)基金 ) |
0.85% |
2.98% |
-8.02% |
-5.40% |
-9.03% |
3.66% |
-6.84% |
( 亞洲小型股基金 ) |
1.37% |
2.10% |
-5.28% |
-7.48% |
-14.49% |
-10.09% |
-10.06% |
( 亞洲科技基金 ) |
0.19% |
8.12% |
-10.42% |
-5.41% |
-6.66% |
-4.81% |
-5.69% |
( 亞洲地產基金 ) |
0.44% |
3.16% |
-1.29% |
2.12% |
-4.05% |
-0.76% |
0.03% |
( 東協基金 ) |
0.99% |
4.60% |
-5.29% |
-7.08% |
-10.93% |
2.66% |
-8.84% |
( 東南亞基金 ) |
0.50% |
6.83% |
-2.38% |
-4.28% |
-10.51% |
8.30% |
-6.52% |
( 大中華基金 ) |
0.22% |
4.28% |
-9.10% |
0.26% |
-5.18% |
7.91% |
-2.86% |
( 中國基金 ) |
0.35% |
4.29% |
-10.13% |
1.48% |
-4.53% |
7.43% |
-2.02% |
( 中國滬深基金 ) |
-0.10% |
3.25% |
-9.07% |
-3.35% |
-9.13% |
0.74% |
-5.84% |
( 香港基金 ) |
0.42% |
4.33% |
-12.64% |
-1.29% |
-7.34% |
4.98% |
-4.11% |
( 台灣基金 ) |
2.53% |
8.09% |
-11.07% |
-14.59% |
-18.45% |
-12.83% |
-18.45% |
( 台灣科技基金 ) |
2.98% |
10.27% |
-13.63% |
-16.58% |
-20.05% |
-15.06% |
-21.88% |
( 台灣店頭基金 ) |
2.99% |
6.74% |
-11.39% |
-15.45% |
-24.31% |
-18.52% |
-19.57% |
( 台灣小型股基金 ) |
3.13% |
8.87% |
-14.10% |
-18.20% |
-22.64% |
-18.90% |
-23.86% |
( 台灣中概股基金 ) |
2.11% |
9.53% |
-10.25% |
-10.91% |
-14.29% |
-9.83% |
-14.17% |
( 台灣平衡配置基金 ) |
1.58% |
6.29% |
-7.18% |
-6.64% |
-10.69% |
-2.97% |
-9.60% |
( 台灣金融基金 ) |
1.49% |
3.95% |
-6.87% |
-5.24% |
-10.54% |
5.44% |
-5.31% |
( 澳洲基金 ) |
0.54% |
5.48% |
-3.94% |
-8.21% |
-12.60% |
-4.48% |
-7.68% |
( 日本基金 ) |
0.70% |
3.17% |
-5.47% |
-3.42% |
-2.08% |
-0.47% |
-4.18% |
( 日本大型股基金 ) |
0.74% |
5.43% |
-3.20% |
0.70% |
-0.08% |
2.13% |
-0.47% |
( 日本小型股基金 ) |
0.12% |
4.93% |
-1.82% |
0.35% |
-1.44% |
-0.14% |
-2.71% |
( 日本科技基金 ) |
N/A% |
N/A% |
N/A% |
N/A% |
N/A% |
N/A% |
N/A% |
( 韓國基金 ) |
1.02% |
6.48% |
-1.62% |
1.58% |
-2.78% |
-9.35% |
8.15% |
( 印度基金 ) |
2.04% |
0.44% |
4.93% |
-4.86% |
-12.76% |
-1.04% |
-8.97% |
( 印尼基金 ) |
0.72% |
7.68% |
-1.33% |
-8.60% |
-19.69% |
-7.55% |
-10.55% |
( 馬來西亞基金 ) |
1.32% |
2.44% |
-0.39% |
0.88% |
0.83% |
14.02% |
1.79% |
( 菲律賓基金 ) |
0.09% |
0.76% |
1.97% |
17.13% |
2.28% |
21.21% |
8.28% |
( 新加坡基金 ) |
0.90% |
2.63% |
-5.29% |
-2.33% |
1.21% |
21.86% |
-3.04% |
( 龍籌股基金 ) |
0.67% |
2.08% |
-4.59% |
-5.00% |
-8.60% |
1.04% |
-7.46% |
( 泰國基金 ) |
0.43% |
-0.21% |
-2.03% |
-8.03% |
-11.85% |
-8.07% |
-10.31% |
( 越南基金 ) |
0.70% |
-2.04% |
-5.64% |
-4.59% |
-8.87% |
-7.49% |
-5.67% |
歐洲
名稱 |
一日 |
一週 |
一個月 |
三個月 |
六個月 |
一年 |
今年以來 |
( 歐洲基金 ) |
1.47% |
5.82% |
-4.95% |
2.07% |
-2.40% |
1.32% |
2.58% |
( 歐陸基金 ) |
1.00% |
6.40% |
-4.40% |
4.79% |
1.66% |
6.16% |
4.84% |
( 歐元市場基金 ) |
1.47% |
4.46% |
-5.56% |
-0.12% |
0.25% |
3.37% |
1.83% |
( 歐洲大型股基金 ) |
1.31% |
6.07% |
-4.46% |
0.83% |
-3.05% |
4.07% |
1.37% |
( 歐洲小型股基金 ) |
1.47% |
5.57% |
-3.53% |
0.18% |
-3.00% |
2.27% |
-0.56% |
( 歐洲科技基金 ) |
N/A% |
N/A% |
N/A% |
N/A% |
N/A% |
N/A% |
N/A% |
( 歐洲REITs基金 ) |
3.31% |
6.67% |
0.58% |
-1.35% |
-14.85% |
-1.68% |
-1.86% |
( 俄羅斯基金 ) |
14.95% |
-34.94% |
-30.96% |
-46.77% |
-45.88% |
-38.73% |
-44.33% |
( 新興歐洲基金 ) |
-6.58% |
-7.50% |
-14.91% |
-7.32% |
-5.64% |
-2.10% |
-6.06% |
( 中歐基金 ) |
N/A% |
N/A% |
N/A% |
N/A% |
N/A% |
N/A% |
N/A% |
( 北歐基金 ) |
1.82% |
5.51% |
-8.30% |
-9.74% |
-8.68% |
-9.21% |
-5.68% |
( 南歐基金 ) |
2.28% |
5.94% |
0.00% |
7.36% |
6.85% |
19.74% |
9.99% |
( 英國基金 ) |
1.19% |
4.70% |
-1.20% |
0.10% |
-1.64% |
3.38% |
-0.24% |
( 法國基金 ) |
N/A% |
N/A% |
N/A% |
N/A% |
N/A% |
N/A% |
N/A% |
( 德國基金 ) |
1.43% |
6.11% |
-5.69% |
8.40% |
10.51% |
15.87% |
10.62% |
( 義大利基金 ) |
2.41% |
6.99% |
-6.45% |
4.53% |
7.53% |
12.57% |
6.66% |
( 瑞士基金 ) |
1.11% |
2.34% |
-9.16% |
-4.98% |
-8.53% |
-4.01% |
-3.21% |
美洲
名稱 |
一日 |
一週 |
一個月 |
三個月 |
六個月 |
一年 |
今年以來 |
( 美國基金 ) |
0.27% |
4.60% |
-4.04% |
-7.70% |
-6.50% |
2.05% |
-5.58% |
( 美國大型股基金 ) |
0.13% |
6.62% |
-5.41% |
-11.13% |
-8.04% |
2.55% |
-9.82% |
( 美國小型股基金 ) |
-0.04% |
5.20% |
-7.68% |
-16.92% |
-16.23% |
-8.45% |
-15.86% |
( 美國固定收益基金 ) |
0.25% |
-0.34% |
-1.75% |
-1.35% |
-3.32% |
0.31% |
-1.40% |
( 美國REITs基金 ) |
0.04% |
3.49% |
-4.56% |
-3.13% |
-6.98% |
6.91% |
-3.05% |
( 加拿大基金 ) |
N/A% |
N/A% |
N/A% |
N/A% |
N/A% |
N/A% |
N/A% |
( 拉丁美洲基金 ) |
0.32% |
2.97% |
-2.81% |
2.12% |
-4.25% |
-10.08% |
5.73% |
( 巴西基金 ) |
0.50% |
1.87% |
-2.36% |
5.08% |
-9.84% |
-14.12% |
6.78% |
中東非洲
名稱 |
一日 |
一週 |
一個月 |
三個月 |
六個月 |
一年 |
今年以來 |
( 非洲中東基金 ) |
0.34% |
3.00% |
-7.54% |
-11.49% |
-9.09% |
-3.92% |
-12.71% |
( 非洲基金 ) |
2.99% |
7.79% |
-3.20% |
5.99% |
0.04% |
17.16% |
4.47% |
( 中東基金 ) |
2.89% |
2.01% |
2.96% |
1.24% |
-0.95% |
9.32% |
7.63% |
類股
名稱 |
一日 |
一週 |
一個月 |
三個月 |
六個月 |
一年 |
今年以來 |
( 商品原物料基金 ) |
0.61% |
6.09% |
-6.15% |
-7.05% |
-10.51% |
-11.29% |
-2.77% |
( 黃金類股基金 ) |
0.64% |
16.23% |
12.69% |
29.74% |
22.46% |
45.01% |
39.72% |
( 能源類股基金 ) |
0.06% |
4.56% |
-8.08% |
-14.35% |
-13.65% |
-12.79% |
-10.75% |
( 綠能(新能源)基金 ) |
1.41% |
3.01% |
-5.92% |
-9.06% |
-13.27% |
-7.06% |
-8.33% |
( 水資源基金 ) |
0.85% |
3.73% |
-3.40% |
-5.28% |
-8.23% |
-2.39% |
-4.86% |
( 農金基金 ) |
0.71% |
4.08% |
-2.57% |
-4.14% |
-8.76% |
-5.64% |
-2.36% |
( 金融類股基金 ) |
1.38% |
3.66% |
-3.89% |
-6.21% |
-1.42% |
8.09% |
-4.58% |
( 銀行類股基金 ) |
0.39% |
1.64% |
4.92% |
3.15% |
7.56% |
4.41% |
6.86% |
( 保險類股基金 ) |
0.39% |
1.64% |
4.92% |
3.15% |
7.56% |
4.41% |
6.86% |
( 生物科技與醫藥基金 ) |
1.12% |
3.36% |
-7.63% |
-8.38% |
-15.90% |
-7.86% |
-7.81% |
( 消費基金 ) |
-0.68% |
1.59% |
-3.58% |
-9.85% |
-7.44% |
-4.97% |
-9.89% |
( 必需消費基金 ) |
0.28% |
5.04% |
-5.08% |
-10.56% |
-7.17% |
6.84% |
-12.29% |
( 精品消費基金 ) |
0.53% |
2.96% |
-4.03% |
-6.38% |
2.03% |
12.92% |
-6.57% |
( 人口類股基金 ) |
0.37% |
6.19% |
-4.90% |
-5.73% |
-9.75% |
-6.81% |
-5.62% |
( 環保議題基金 ) |
0.62% |
2.67% |
-2.69% |
-3.72% |
-4.33% |
2.01% |
-3.18% |
( 社會道德基金 ) |
N/A% |
N/A% |
N/A% |
N/A% |
N/A% |
N/A% |
N/A% |
( 科技基金 ) |
0.70% |
8.01% |
-6.75% |
-14.22% |
-11.90% |
-3.77% |
-14.23% |
( 通訊基金 ) |
2.19% |
4.28% |
-3.11% |
-1.58% |
-1.15% |
5.96% |
-1.50% |
( 公用事業基金 ) |
0.67% |
5.01% |
0.07% |
5.36% |
-1.72% |
18.90% |
4.53% |
( ESG基金 ) |
1.11% |
6.57% |
-3.27% |
-2.51% |
-3.06% |
5.27% |
-0.56% |
債券
貨幣
名稱 |
一日 |
一週 |
一個月 |
三個月 |
六個月 |
一年 |
今年以來 |
( 美元基金 ) |
0.02% |
0.06% |
0.33% |
1.00% |
1.66% |
2.76% |
1.16% |
( 歐元基金 ) |
0.01% |
0.04% |
0.19% |
0.60% |
1.31% |
1.92% |
0.70% |
( 英鎊基金 ) |
0.01% |
0.07% |
0.33% |
1.02% |
0.96% |
2.19% |
1.18% |
( 澳幣基金 ) |
0.01% |
0.07% |
0.35% |
1.02% |
2.01% |
4.07% |
1.14% |
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* 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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