2021年 |
配息 |
前日淨值 |
殖利率 |
01/05 |
2.77 |
- |
- |
02/02 |
2.77 |
- |
- |
03/02 |
2.77 |
- |
- |
04/07 |
2.77 |
- |
- |
05/04 |
2.77 |
- |
- |
06/02 |
2.77 |
- |
- |
07/02 |
2.77 |
349.84 |
0.79% |
08/03 |
2.77 |
345.11 |
0.80% |
09/02 |
2.77 |
347.71 |
0.80% |
10/04 |
2.77 |
333.55 |
0.83% |
11/02 |
2.77 |
329.42 |
0.84% |
12/02 |
2.77 |
311.82 |
0.89% |
總計 |
33.24 |
311.82 |
10.66% |
|
2022年 |
配息 |
前日淨值 |
殖利率 |
01/04 |
2.77 |
311.85 |
0.89% |
02/02 |
2.77 |
301.52 |
0.92% |
03/02 |
2.77 |
274.80 |
1.01% |
04/04 |
2.77 |
273.71 |
1.01% |
05/03 |
2.77 |
253.23 |
1.09% |
06/02 |
2.77 |
243.65 |
1.14% |
07/04 |
1.9 |
220.95 |
0.86% |
08/02 |
1.9 |
218.77 |
0.87% |
09/02 |
1.9 |
216.15 |
0.88% |
10/04 |
1.9 |
198.52 |
0.96% |
11/02 |
1.9 |
196.75 |
0.97% |
12/02 |
1.9 |
218.97 |
0.87% |
總計 |
28.02 |
218.97 |
12.80% |
|
2023年 |
配息 |
前日淨值 |
殖利率 |
01/03 |
1.9 |
215.31 |
0.88% |
02/02 |
1.9 |
223.93 |
0.85% |
03/02 |
1.9 |
215.98 |
0.88% |
04/04 |
1.9 |
209.47 |
0.91% |
05/02 |
1.9 |
208.96 |
0.91% |
06/02 |
1.9 |
211.32 |
0.90% |
總計 |
11.4 |
211.32 |
5.39% |
|