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 ) -0.27% -0.18% 1.65% 3.67% 9.61% 24.60% 12.81%
( 全球小型股基金 ) -0.93% -1.73% -0.68% 1.05% 7.79% 25.94% 7.36%
( 全球地產基金 ) -0.59% -0.71% -1.90% 4.18% 13.60% 23.61% 8.38%
( 資產配置基金 ) -0.21% -0.15% 0.39% 2.80% 6.93% 16.74% 7.70%
( 新興市場基金 ) -0.28% -0.08% 3.31% 4.18% 10.67% 19.64% 11.30%
( 金磚四國基金 ) 0.01% 0.38% 5.72% 8.70% 12.56% 12.92% 13.45%
( 邊境市場基金 ) -0.17% 0.96% 1.53% 3.66% 11.16% 33.58% 23.73%

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 ) -0.50% -0.49% 4.47% 4.62% 12.61% 21.34% 14.95%
( 新興亞洲基金 ) -0.51% -1.21% 3.64% 3.93% 12.35% 21.94% 15.33%
( 亞太基金 ) -0.47% -0.83% 1.94% 1.98% 8.52% 20.38% 10.73%
( 亞太(不含日本)基金 ) -0.52% 0.04% 5.63% 6.74% 16.16% 21.24% 17.52%
( 亞洲小型股基金 ) -0.49% -0.74% -0.12% 1.93% 6.61% 18.98% 8.70%
( 亞洲科技基金 ) -0.17% -0.49% 4.24% -4.60% 9.31% 29.06% 16.59%
( 亞洲地產基金 ) -1.12% -1.22% -3.15% 3.35% 6.01% 11.82% 1.22%
( 東協基金 ) -0.48% 0.13% -0.25% 10.10% 17.83% 24.16% 18.59%
( 東南亞基金 ) -0.72% 0.18% -0.89% 11.09% 23.93% 20.13% 16.70%
( 大中華基金 ) -0.02% 0.06% 9.80% 8.81% 15.36% 20.30% 15.84%
( 中國基金 ) 0.39% 0.64% 13.83% 10.41% 13.11% 12.89% 14.17%
( 中國滬深基金 ) 0.71% 2.37% 19.74% 12.43% 8.87% 17.54% 20.32%
( 香港基金 ) 0.12% -0.56% 9.47% 12.57% 13.54% 8.55% 7.63%
( 台灣基金 ) 0.08% 1.67% 5.06% 4.08% 15.42% 30.93% 19.88%
( 台灣科技基金 ) 0.42% 2.43% 7.59% 6.40% 17.75% 31.11% 19.15%
( 台灣店頭基金 ) 0.51% 0.73% 1.46% 3.77% 17.19% 34.72% 25.16%
( 台灣小型股基金 ) 0.29% 2.16% 6.25% 5.82% 15.54% 29.43% 17.93%
( 台灣中概股基金 ) -0.02% 2.42% 3.94% 1.75% 13.51% 36.18% 18.40%
( 台灣平衡配置基金 ) -0.33% 0.54% 2.49% 0.84% 14.41% 32.35% 15.68%
( 台灣金融基金 ) -1.11% 0.27% 0.41% 2.11% 17.63% 27.72% 21.36%
( 澳洲基金 ) -1.04% -1.78% 0.36% 3.79% 9.29% 24.99% 8.48%
( 日本基金 ) -1.23% -2.82% -1.72% -4.18% 2.19% 16.35% 9.27%
( 日本大型股基金 ) -1.14% -2.06% 0.25% -1.33% 8.11% 22.57% 14.43%
( 日本小型股基金 ) -1.69% -3.10% -2.69% -0.21% 3.67% 13.97% 4.20%
( 日本科技基金 ) N/A% N/A% N/A% N/A% N/A% N/A% N/A%
( 韓國基金 ) -0.80% -2.15% -0.45% -5.51% 2.31% 4.53% -2.10%
( 印度基金 ) -1.48% -3.63% -5.22% -0.86% 9.51% 28.04% 17.41%
( 印尼基金 ) -0.52% 0.56% -2.33% 6.25% 9.77% 9.09% 4.52%
( 馬來西亞基金 ) 0.19% 0.86% -0.13% 10.86% 20.74% 29.26% 25.72%
( 菲律賓基金 ) 0.09% 0.76% 1.97% 17.13% 2.28% 21.21% 8.28%
( 新加坡基金 ) -0.48% 0.22% 0.48% 9.86% 21.75% 28.30% 20.08%
( 龍籌股基金 ) -0.28% 0.67% -0.88% 10.74% 16.10% 21.47% 16.09%
( 泰國基金 ) -0.67% 0.20% 0.47% 12.80% 14.30% 8.21% 3.89%
( 越南基金 ) -1.01% -2.89% -2.99% -0.94% 8.09% 10.29% 10.01%

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 ) -0.61% -0.69% -0.68% 0.73% 4.05% 19.78% 7.38%
( 歐陸基金 ) -0.33% -0.78% -1.61% 1.28% 3.81% 21.04% 6.35%
( 歐元市場基金 ) -0.29% 0.01% 0.68% 0.45% 2.79% 22.35% 9.86%
( 歐洲大型股基金 ) -0.36% -0.26% -0.29% 2.08% 7.15% 25.35% 10.33%
( 歐洲小型股基金 ) -0.63% -1.18% -0.67% -0.64% 5.16% 20.89% 4.99%
( 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 ) -1.14% -3.84% -5.17% 1.99% 9.84% 34.13% 3.53%
( 俄羅斯基金 ) 16.70% -34.49% -30.26% -45.91% -45.40% -38.02% -43.64%
( 新興歐洲基金 ) -7.66% -10.88% -13.33% -17.96% -11.88% 7.55% -5.38%
( 中歐基金 ) N/A% N/A% N/A% N/A% N/A% N/A% N/A%
( 北歐基金 ) -0.36% -0.05% -1.21% -6.02% -0.72% 17.90% 8.59%
( 南歐基金 ) -0.10% -0.76% 0.10% 2.86% 10.18% 37.38% 18.98%
( 英國基金 ) -0.41% 0.36% 0.73% 1.71% 4.81% 13.65% 6.74%
( 法國基金 ) N/A% N/A% N/A% N/A% N/A% N/A% N/A%
( 德國基金 ) -0.63% -1.26% 1.77% 2.26% 4.88% 23.65% 10.20%
( 義大利基金 ) -0.91% 0.13% 2.27% -0.49% 4.67% 29.60% 13.84%
( 瑞士基金 ) -0.59% -1.11% 1.35% -1.30% 4.96% 16.80% 7.63%

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 ) -0.18% 0.18% 2.22% 5.01% 12.77% 29.75% 16.80%
( 美國大型股基金 ) -0.24% 0.45% 2.97% 5.22% 13.82% 36.48% 20.67%
( 美國小型股基金 ) -0.85% -1.00% -0.14% 0.18% 9.57% 27.55% 8.91%
( 美國固定收益基金 ) -0.10% -0.61% -1.88% 0.84% 3.12% 6.96% -0.44%
( 美國REITs基金 ) -0.72% -1.04% -2.57% 4.16% 15.86% 24.25% 6.47%
( 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 ) -0.15% -0.95% -2.68% -4.92% -7.31% 1.14% -14.78%
( 巴西基金 ) -0.46% -2.35% -4.59% -2.49% -6.13% 1.45% -13.01%

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 ) -0.12% 0.96% -0.17% 4.61% 9.77% 17.04% 10.72%
( 非洲基金 ) 0.36% 0.86% 3.04% 8.26% 19.50% 19.21% 12.39%
( 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 ) -0.25% 0.39% 2.76% 1.76% 1.08% 11.02% 5.30%
( 黃金類股基金 ) 0.53% 6.94% 8.40% 16.95% 27.23% 43.26% 37.27%
( 能源類股基金 ) -0.23% 0.37% 2.06% 0.74% 3.22% 3.55% 1.28%
( 綠能(新能源)基金 ) -0.43% -2.29% -1.59% -0.68% 6.72% 18.37% 0.07%
( 水資源基金 ) -0.69% -0.75% 0.35% 1.29% 5.16% 24.74% 7.66%
( 農金基金 ) -0.52% -0.99% 0.44% 1.50% 1.82% 5.45% 1.76%
( 金融類股基金 ) 0.07% 0.63% 4.41% 5.99% 12.67% 30.82% 19.42%
( 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 ) -0.55% -0.50% -1.37% -0.17% 11.05% 24.15% 12.11%
( 消費基金 ) -0.21% 0.03% 1.66% 0.88% 2.19% 9.96% 4.64%
( 必需消費基金 ) -0.98% -2.00% 2.96% 7.83% 18.44% 42.41% 27.60%
( 精品消費基金 ) -0.12% -0.65% 1.84% 1.47% 9.29% 29.96% 8.52%
( 人口類股基金 ) -1.01% -2.22% -0.68% -1.67% 2.38% 18.30% 6.65%
( 環保議題基金 ) -0.08% -1.14% -1.71% -0.03% 5.74% 17.24% 2.76%
( 社會道德基金 ) N/A% N/A% N/A% N/A% N/A% N/A% N/A%
( 科技基金 ) -0.07% 0.90% 3.67% 3.09% 16.49% 43.97% 25.89%
( 通訊基金 ) -0.96% -0.35% 1.53% 0.98% 7.01% 18.42% 11.12%
( 公用事業基金 ) -0.28% -0.04% 1.03% 9.51% 17.81% 30.19% 23.37%
( ESG基金 ) -0.69% -0.78% 0.99% 4.39% 8.43% 27.25% 17.13%

債券

名稱 一日 一週 一個月 三個月 六個月 一年 今年以來
( 美國政府債券基金 ) -0.29% -0.71% -2.24% 1.09% 3.30% 7.24% 0.29%
( 美國投資等級債券基金 ) -0.24% -0.87% -1.99% 1.41% 3.93% 8.76% -0.03%
( 美國非投資等級債券基金 ) -0.18% -0.11% -0.62% 1.28% 3.51% 8.89% 2.24%
( 美國公司債券基金 ) -0.09% -0.82% -2.34% 1.02% 3.20% 7.45% -0.58%
( 美國短期債券基金 ) 0.01% -0.03% -0.11% 0.85% 1.80% 4.72% 3.15%
( 歐洲債券基金 ) -0.24% -0.39% -0.74% 1.25% 3.06% 10.12% 0.63%
( 歐洲可轉換債券基金 ) -0.31% -0.07% -0.48% 2.19% 1.89% 8.54% 3.27%
( 歐洲短期債券基金 ) -0.17% -0.19% 0.11% 1.85% 2.75% 6.38% 0.85%
( 歐洲非投資等級債券基金 ) -0.04% 0.15% 0.27% 2.13% 3.96% 10.76% 3.73%
( 新興歐洲債券基金 ) N/A% N/A% N/A% N/A% N/A% N/A% N/A%
( 全球債券基金 ) -0.24% -0.53% -1.71% 1.57% 2.55% 5.64% -0.85%
( 全球政府債券基金 ) -0.60% -0.70% -1.77% -0.33% 2.58% 7.69% 2.04%
( 全球投資等級債券基金 ) 0.04% 0.16% 0.47% 0.92% 1.13% 2.29% 1.62%
( 全球非投資等級債券基金 ) -0.11% -0.09% -0.40% 1.29% 2.98% 8.52% 2.20%
( 全球可轉換債券基金 ) -0.42% -0.62% 1.91% 3.59% 6.90% 12.13% 4.65%
( 優先順位債券基金 ) -0.10% -0.00% -0.16% 1.00% 3.52% 10.41% 3.68%
( 新興市場債券基金 ) -0.38% -0.69% -1.21% 1.77% 3.54% 11.84% 2.65%
( 新興市場非投資等級債券基金 ) -0.22% -1.14% -1.50% 0.20% 1.98% 10.23% 3.29%
( 新興市場當地貨幣債券基金 ) -0.21% -0.76% -2.81% 0.68% 2.40% 5.30% -1.90%
( 新興市場短期債基金 ) -0.24% -0.46% -0.87% 1.74% 2.88% 7.18% 2.09%
( 亞洲債券基金 ) -0.34% -0.42% -1.17% 2.37% 4.55% 8.67% 2.47%
( 新興亞洲債券基金 ) -0.19% -0.59% -1.29% 1.03% 3.00% 6.46% 0.79%
( 亞洲非投資等級債券基金 ) -0.07% 0.22% 2.34% 0.91% 5.89% 18.44% 15.00%
( 亞洲可轉換債券基金 ) N/A% N/A% N/A% N/A% N/A% N/A% N/A%
( 通膨連結債券基金 ) 0.06% -0.79% -2.04% 1.19% 3.29% 6.54% 1.25%
( 可轉換債券基金 ) -0.11% -0.43% -1.55% 0.93% 2.67% 7.05% 0.12%
( 短期債券基金 ) -0.03% -0.01% -0.06% 0.96% 1.88% 4.27% 1.78%
( 中國非投資等級債券基金 ) -0.11% -0.06% 1.35% 1.15% 3.23% 13.04% 6.86%
( 日本債券基金 ) -0.21% 0.30% -1.59% 5.85% 0.04% -3.67% -7.08%
( 台灣債券基金 ) 0.00% 0.03% 0.12% 0.37% 0.72% 1.37% 1.13%
( 英國債券基金 ) -0.26% 0.01% -1.23% 0.86% 2.30% 8.59% -0.53%
( 英鎊短期債券基金 ) N/A% N/A% N/A% N/A% N/A% N/A% N/A%

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% 0.10% 0.38% 0.28% 1.08% 3.27% 2.67%
( 歐元基金 ) 0.02% 0.07% 0.28% -0.28% 0.60% 2.49% 1.76%
( 英鎊基金 ) 0.02% 0.10% 0.39% 1.18% 1.21% 2.50% 2.68%
( 澳幣基金 ) 0.03% 0.08% 0.31% 1.03% 2.02% 3.97% 3.20%
       


* 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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