| 
 | 
| 
 
瀚亞投資M&G全球領導企業基金 (美元) 
 
| 幣別 | 
淨值 | 
漲跌 | 
漲跌比例 | 
日期 | 
 
| 美元 | 
13.9686 | 
-0.0506 | 
-0.36% | 
2018/05/25 | 
 
 
 | 
 | 
  
 
| 2008 | 
2009 | 
2010 | 
2011 | 
2012 | 
2013 | 
2014 | 
2015 | 
2016 | 
2017 | 
 
| - | 
- | 
11.56% | 
-13.19% | 
12.39% | 
27.42% | 
-4.58% | 
-1.71% | 
6.82% | 
21.73% | 
 
 
 
| 瀚亞投資M&G全球領導企業基金(美元)
 |  
| 
 
 
本基金藉由投資於全球產業或領域具備領導地位之企業,為您解決茫茫大海中挑選優質企業的難題。以嚴謹的篩選步驟確立投資標的,以期長期資本利得最大化。
 |  
 
 
 
 
| 日期 | 
淨值 | 
漲跌比例 | 
日期 | 
淨值 | 
漲跌比例 | 
 
| 2018/05/25 | 
13.9686 | 
-0.36% | 
2018/05/11 | 
14.1398 | 
1.40% | 
 
| 2018/05/24 | 
14.0192 | 
0.12% | 
2018/05/10 | 
13.9447 | 
0.88% | 
 
| 2018/05/23 | 
14.0022 | 
-0.99% | 
2018/05/09 | 
13.8237 | 
-0.03% | 
 
| 2018/05/22 | 
14.1418 | 
0.47% | 
2018/05/08 | 
13.8274 | 
0.77% | 
 
| 2018/05/21 | 
14.0750 | 
0.00% | 
2018/05/04 | 
13.7212 | 
-0.16% | 
 
| 2018/05/18 | 
14.0748 | 
-0.09% | 
2018/05/03 | 
13.7433 | 
-0.24% | 
 
| 2018/05/17 | 
14.0874 | 
0.42% | 
2018/05/02 | 
13.7759 | 
0.13% | 
 
| 2018/05/16 | 
14.0281 | 
-0.57% | 
2018/05/01 | 
13.7574 | 
-0.69% | 
 
| 2018/05/15 | 
14.1092 | 
-0.20% | 
2018/04/30 | 
13.8536 | 
0.86% | 
 
| 2018/05/14 | 
14.1380 | 
-0.01% | 
2018/04/27 | 
13.7360 | 
0.51% | 
 
 
基金績效 (可點按欄位名稱排序)
 
| 名稱 | 
一日 | 
一週 | 
一個月 | 
三個月 | 
六個月 | 
一年 | 
今年以來 | 
 
 | 
-0.36% | 
-0.75% | 
2.37% | 
1.65% | 
7.51% | 
19.38% | 
5.40% | 
 
| MSCI 世界指數 (price) | 
0.76% | 
1.76% | 
4.55% | 
12.22% | 
20.60% | 
14.48% | 
13.42% | 
 
| MSCI AC世界指數 (price) | 
0.75% | 
1.72% | 
4.74% | 
12.58% | 
21.51% | 
14.64% | 
13.56% | 
 
 | 
0.69% | 
1.28% | 
2.69% | 
11.27% | 
19.52% | 
11.86% | 
11.25% | 
 
 | 
-0.02% | 
-0.03% | 
4.30% | 
2.57% | 
-2.93% | 
-6.04% | 
7.73% | 
 
 | 
0.25% | 
0.75% | 
1.01% | 
9.66% | 
14.27% | 
8.65% | 
8.59% | 
 
 | 
0.86% | 
1.86% | 
4.45% | 
13.54% | 
24.73% | 
19.53% | 
18.67% | 
 
 | 
0.18% | 
0.78% | 
0.90% | 
9.31% | 
13.65% | 
7.57% | 
7.57% | 
 
 | 
0.83% | 
1.87% | 
4.38% | 
13.21% | 
24.12% | 
18.38% | 
17.57% | 
 
 | 
-0.36% | 
-1.24% | 
-2.66% | 
0.34% | 
3.04% | 
-0.34% | 
1.31% | 
 
 | 
-0.34% | 
-1.28% | 
-2.74% | 
0.09% | 
2.53% | 
-1.34% | 
0.49% | 
 
 | 
0.07% | 
0.40% | 
1.95% | 
9.32% | 
9.96% | 
-5.38% | 
-5.61% | 
 
 | 
0.65% | 
1.48% | 
5.39% | 
13.17% | 
19.97% | 
4.09% | 
3.17% | 
 
 | 
0.00% | 
0.32% | 
1.88% | 
9.02% | 
9.31% | 
-6.32% | 
-6.53% | 
 
 | 
0.66% | 
1.46% | 
5.38% | 
12.93% | 
19.37% | 
3.10% | 
2.21% | 
 
 | 
0.38% | 
1.15% | 
0.06% | 
9.84% | 
18.45% | 
23.99% | 
24.14% | 
 
 | 
0.99% | 
2.27% | 
3.47% | 
13.74% | 
29.30% | 
36.44% | 
35.68% | 
 
 | 
-2.01% | 
-3.40% | 
-3.04% | 
-3.20% | 
1.37% | 
4.88% | 
19.00% | 
 
 | 
1.00% | 
2.26% | 
3.40% | 
13.49% | 
28.67% | 
35.08% | 
34.42% | 
 
 | 
0.62% | 
1.47% | 
5.07% | 
11.96% | 
17.30% | 
-0.55% | 
-1.09% | 
 
 | 
0.68% | 
1.44% | 
5.12% | 
11.96% | 
17.38% | 
-0.40% | 
-1.00% | 
 
 | 
0.67% | 
1.43% | 
4.91% | 
11.24% | 
16.44% | 
-5.48% | 
-6.01% | 
 
 | 
0.63% | 
1.42% | 
4.90% | 
11.60% | 
16.79% | 
-1.78% | 
-2.32% | 
 
 | 
0.68% | 
1.49% | 
5.01% | 
11.54% | 
17.04% | 
-4.09% | 
-4.46% | 
 
 | 
0.60% | 
1.35% | 
4.89% | 
11.18% | 
16.35% | 
-5.32% | 
-5.92% | 
 
 | 
0.63% | 
1.41% | 
4.90% | 
11.59% | 
16.86% | 
-1.78% | 
-2.38% | 
 
 | 
0.68% | 
1.48% | 
5.01% | 
11.54% | 
17.02% | 
-4.03% | 
-4.45% | 
 
 | 
0.96% | 
2.19% | 
3.34% | 
13.32% | 
28.54% | 
31.02% | 
30.36% | 
 
 | 
0.00% | 
1.90% | 
5.34% | 
6.26% | 
20.23% | 
6.26% | 
18.87% | 
 
 | 
0.54% | 
-0.19% | 
-1.38% | 
5.08% | 
8.51% | 
8.36% | 
7.22% | 
 
 | 
0.38% | 
1.21% | 
4.35% | 
10.80% | 
18.39% | 
8.25% | 
7.85% | 
 
 | 
0.28% | 
0.58% | 
2.81% | 
7.19% | 
14.51% | 
2.14% | 
1.82% | 
 
 | 
0.00% | 
-0.28% | 
-0.13% | 
4.05% | 
5.60% | 
-6.65% | 
-6.21% | 
 
 | 
0.00% | 
-0.29% | 
-0.15% | 
4.04% | 
5.59% | 
-9.06% | 
-8.64% | 
 
 | 
0.28% | 
0.58% | 
2.82% | 
7.19% | 
14.51% | 
-0.57% | 
-0.88% | 
 
 | 
0.27% | 
-0.18% | 
2.07% | 
3.94% | 
9.13% | 
-1.13% | 
-0.79% | 
 
 | 
0.34% | 
-0.11% | 
1.86% | 
2.94% | 
6.97% | 
-4.89% | 
-4.58% | 
 
 | 
0.24% | 
-0.03% | 
3.30% | 
6.97% | 
13.80% | 
5.07% | 
4.94% | 
 
 | 
0.24% | 
-0.03% | 
2.96% | 
5.92% | 
11.56% | 
0.97% | 
0.84% | 
 
 | 
-0.02% | 
0.18% | 
2.48% | 
3.17% | 
4.85% | 
-2.14% | 
-1.74% | 
 
 | 
-0.02% | 
0.18% | 
2.14% | 
2.16% | 
2.78% | 
-5.96% | 
-5.58% | 
 
 | 
1.04% | 
3.08% | 
2.80% | 
16.87% | 
-2.30% | 
2.92% | 
16.46% | 
 
 | 
0.93% | 
3.26% | 
3.82% | 
18.30% | 
0.30% | 
13.02% | 
18.94% | 
 
 | 
0.24% | 
0.39% | 
2.24% | 
5.06% | 
10.65% | 
5.72% | 
5.68% | 
 
 | 
-0.75% | 
-1.12% | 
2.98% | 
4.06% | 
8.61% | 
17.36% | 
2.85% | 
 
 | 
0.44% | 
1.29% | 
4.96% | 
13.35% | 
20.52% | 
4.52% | 
3.66% | 
 
 | 
-0.30% | 
-0.13% | 
0.57% | 
8.94% | 
9.34% | 
4.59% | 
4.06% | 
 
 | 
-0.26% | 
-0.14% | 
6.69% | 
6.83% | 
8.88% | 
14.37% | 
7.92% | 
 
 | 
-2.44% | 
-1.14% | 
6.91% | 
14.13% | 
16.31% | 
-16.03% | 
-15.45% | 
 
 | 
0.04% | 
1.08% | 
3.62% | 
13.00% | 
19.02% | 
14.67% | 
13.43% | 
 
 | 
0.25% | 
0.39% | 
1.98% | 
4.28% | 
9.01% | 
2.60% | 
2.56% | 
 
 | 
0.51% | 
1.50% | 
4.01% | 
12.42% | 
18.91% | 
10.19% | 
9.72% | 
 
 | 
0.00% | 
0.76% | 
1.67% | 
10.83% | 
12.57% | 
9.25% | 
8.89% | 
 
 | 
0.80% | 
2.20% | 
6.98% | 
15.71% | 
26.33% | 
23.68% | 
22.60% | 
 
 | 
0.72% | 
2.42% | 
4.95% | 
11.14% | 
21.56% | 
18.14% | 
17.69% | 
 
 | 
0.48% | 
1.88% | 
5.78% | 
13.75% | 
21.35% | 
6.34% | 
5.70% | 
 
 | 
0.47% | 
1.87% | 
5.75% | 
13.75% | 
20.22% | 
5.35% | 
4.71% | 
 
 | 
0.45% | 
1.84% | 
5.64% | 
13.36% | 
20.53% | 
4.95% | 
4.37% | 
 
 | 
0.33% | 
1.44% | 
5.18% | 
12.01% | 
19.17% | 
-3.69% | 
-3.89% | 
 
 | 
0.37% | 
1.36% | 
5.28% | 
11.44% | 
18.04% | 
-5.65% | 
-5.87% | 
 
 | 
0.47% | 
0.30% | 
3.66% | 
10.59% | 
18.21% | 
4.91% | 
4.12% | 
 
 | 
0.29% | 
0.86% | 
3.69% | 
10.11% | 
15.64% | 
-1.47% | 
3.01% | 
 
 | 
0.37% | 
-12.36% | 
-13.19% | 
-14.96% | 
-17.05% | 
-10.10% | 
-15.44% | 
 
 | 
0.11% | 
0.28% | 
1.48% | 
1.20% | 
4.33% | 
0.31% | 
-0.02% | 
 
 | 
0.75% | 
1.28% | 
4.41% | 
8.77% | 
19.79% | 
17.60% | 
16.75% | 
 
 | 
0.97% | 
3.35% | 
6.23% | 
10.58% | 
28.01% | 
48.21% | 
47.21% | 
 
 | 
-0.51% | 
-1.87% | 
-0.94% | 
-1.44% | 
1.61% | 
15.81% | 
-1.32% | 
 
 | 
0.55% | 
1.10% | 
5.58% | 
11.14% | 
22.81% | 
28.12% | 
27.43% | 
 
 | 
0.44% | 
0.31% | 
2.35% | 
2.41% | 
5.98% | 
1.07% | 
0.56% | 
 
 | 
0.43% | 
0.50% | 
3.26% | 
7.02% | 
13.63% | 
9.48% | 
8.96% | 
 
 | 
0.72% | 
1.38% | 
8.33% | 
16.57% | 
34.75% | 
53.81% | 
51.80% | 
 
 | 
0.58% | 
0.17% | 
2.45% | 
5.11% | 
12.11% | 
8.30% | 
7.63% | 
 
 | 
-0.16% | 
-0.08% | 
0.70% | 
8.16% | 
7.92% | 
-6.44% | 
-6.37% | 
 
 | 
0.32% | 
0.86% | 
3.83% | 
12.17% | 
17.75% | 
2.73% | 
2.16% | 
 
 | 
0.31% | 
2.91% | 
8.37% | 
23.54% | 
35.38% | 
21.20% | 
19.57% | 
 
 | 
1.21% | 
2.25% | 
5.56% | 
11.53% | 
22.43% | 
12.67% | 
12.14% | 
 
 | 
0.74% | 
1.80% | 
6.70% | 
13.66% | 
23.68% | 
13.46% | 
12.63% | 
 
 | 
0.77% | 
1.70% | 
4.32% | 
11.91% | 
21.93% | 
18.90% | 
17.59% | 
 
 | 
0.79% | 
1.72% | 
4.26% | 
11.67% | 
21.29% | 
17.52% | 
16.34% | 
 
| 駿利環球研究基金B累計(美元) | 
-0.29% | 
0.07% | 
-0.51% | 
-0.14% | 
-8.50% | 
-3.91% | 
-3.23% | 
 
 | 
-0.63% | 
-0.69% | 
3.45% | 
-0.74% | 
1.82% | 
-2.30% | 
14.42% | 
 
 | 
0.80% | 
1.72% | 
4.18% | 
11.34% | 
20.55% | 
15.06% | 
14.09% | 
 
 | 
0.22% | 
1.71% | 
5.06% | 
17.32% | 
29.26% | 
20.97% | 
20.54% | 
 
 | 
0.34% | 
1.08% | 
3.49% | 
11.12% | 
19.30% | 
14.04% | 
13.39% | 
 
 | 
0.22% | 
1.73% | 
5.13% | 
17.59% | 
29.87% | 
22.09% | 
21.61% | 
 
 | 
-0.36% | 
-0.35% | 
2.57% | 
11.56% | 
19.48% | 
17.28% | 
16.78% | 
 
 | 
-0.23% | 
-0.98% | 
1.04% | 
5.66% | 
10.28% | 
10.56% | 
9.85% | 
 
 | 
0.37% | 
-0.15% | 
0.69% | 
N/A% | 
N/A% | 
N/A% | 
N/A% | 
 
 | 
0.71% | 
1.06% | 
3.74% | 
N/A% | 
N/A% | 
N/A% | 
N/A% | 
 
| MFS全盛全球股票基金A2(英鎊) | 
-0.81% | 
-2.52% | 
0.14% | 
1.24% | 
6.69% | 
13.98% | 
0.69% | 
 
 | 
0.18% | 
1.05% | 
0.42% | 
6.94% | 
11.08% | 
2.13% | 
1.75% | 
 
 | 
0.99% | 
2.03% | 
3.94% | 
10.74% | 
21.45% | 
12.45% | 
11.36% | 
 
 | 
-0.39% | 
0.93% | 
10.26% | 
8.99% | 
-3.45% | 
2.55% | 
-6.22% | 
 
 | 
1.01% | 
2.04% | 
3.88% | 
10.53% | 
21.02% | 
11.63% | 
10.55% | 
 
 | 
1.19% | 
1.12% | 
2.09% | 
4.56% | 
11.92% | 
13.40% | 
11.85% | 
 
 | 
0.69% | 
1.68% | 
4.36% | 
10.06% | 
19.24% | 
12.29% | 
11.33% | 
 
 | 
0.87% | 
1.49% | 
3.40% | 
13.32% | 
25.20% | 
23.20% | 
22.04% | 
 
 | 
0.86% | 
1.47% | 
3.33% | 
13.09% | 
24.70% | 
22.22% | 
21.11% | 
 
 | 
0.45% | 
1.98% | 
5.37% | 
12.95% | 
21.21% | 
14.64% | 
13.86% | 
 
 | 
0.69% | 
0.86% | 
1.70% | 
8.27% | 
20.26% | 
24.74% | 
23.89% | 
 
 | 
0.41% | 
-0.01% | 
-1.23% | 
5.09% | 
10.90% | 
14.01% | 
14.12% | 
 
 | 
0.71% | 
0.86% | 
1.63% | 
7.92% | 
19.54% | 
22.54% | 
21.91% | 
 
 | 
0.42% | 
0.78% | 
1.12% | 
5.65% | 
13.31% | 
17.73% | 
16.97% | 
 
 | 
0.00% | 
0.00% | 
0.00% | 
1.56% | 
-7.14% | 
-14.47% | 
3.17% | 
 
 | 
0.66% | 
1.30% | 
2.36% | 
7.87% | 
19.08% | 
19.61% | 
18.05% | 
 
 | 
0.00% | 
0.00% | 
0.00% | 
4.35% | 
-5.88% | 
-17.24% | 
4.35% | 
 
 | 
0.20% | 
0.53% | 
0.59% | 
1.53% | 
4.65% | 
1.66% | 
1.66% | 
 
 | 
0.17% | 
0.79% | 
1.68% | 
5.52% | 
10.61% | 
5.62% | 
5.52% | 
 
| 基金平均績效 | 
0.32% | 
0.85% | 
3.19% | 
8.97% | 
14.72% | 
8.51% | 
8.55% | 
 
 
 
* 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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