ETF總覽
符合條件基金共 17 檔
證券代碼 | 基金名稱 | 淨值日期 |
淨值
|
漲跌
|
漲跌幅
|
當期配息率 (註)
|
期間報酬率 (註)
|
---|---|---|---|---|---|---|---|
國外股票型 | |||||||
006207 | 2025/09/26 | 28.69 | -0.24 | -0.83% |
—
—
|
— | |
00712 | 2025/09/26 | 8.73 | 0.07 | 0.81% |
2.11%
2025/09/17
|
11.47% | |
00877 | 2025/09/26 | 22.99 | -0.92 | -3.85% |
—
—
|
— | |
00924 | 2025/09/26 | 27.50 | 0.20 | 0.73% |
—
—
|
— | |
00949 | 2025/09/26 | 17.43 | -0.04 | -0.23% |
—
—
|
— | |
槓反型 | |||||||
00650L | 2025/09/26 | 18.14 | -0.54 | -2.89% |
—
—
|
— | |
00651R | 2025/09/26 | 5.28 | 0.08 | 1.54% |
—
—
|
— | |
債券型 | |||||||
00710B | 2025/09/26 | 18.56 | 0.06 | 0.32% |
1.72%
2025/09/17
|
4.59% | |
00711B | 2025/09/26 | 15.86 | 0.03 | 0.19% |
1.20%
2025/09/17
|
9.85% | |
00758B | 2025/09/26 | 50.43 | 0.22 | 0.44% |
1.17%
2025/08/19
|
4.33% | |
00759B | 2025/09/26 | 54.05 | 0.20 | 0.37% |
1.14%
2025/08/19
|
4.43% | |
00760B | 2025/09/26 | 54.31 | 0.06 | 0.11% |
1.35%
2025/08/19
|
5.88% | |
00768B | 2025/09/26 | 51.3924 | 0.0718 | 0.14% |
2.48%
2025/08/19
|
-0.14% | |
00789B | 2025/09/26 | 48.9459 | 0.1677 | 0.34% |
1.28%
2025/07/17
|
-6.16% | |
00791B | 2025/09/26 | 55.2654 | 0.1480 | 0.27% |
1.04%
2025/07/17
|
-7.06% | |
國內股票型 | |||||||
00731 | 2025/09/26 | 68.23 | -0.16 | -0.23% |
0.96%
2025/08/19
|
2.06% | |
00929 | 2025/09/26 | 18.45 | -0.48 | -2.54% |
0.43%
2025/09/17
|
4.55% | |
註: 當期配息率計算公式為「每單位配息金額÷除息日前一日之淨值×100%」。 ※基金之基金配息率不代表基金報酬率,且過去配息率不代表未來配息率;基金淨值可能因市場因素而上下波動。本基金配息可能由基金的收益或收益平準金中支付。任何涉及由收益平準金支出的部份,可能導致原始投資金額減損。該基金進行配息前應負擔之相關費用請詳閱基金之公開說明書。投資人於獲配息時,宜一併注意基金淨值之變動。
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