E02.基金績效評比( 理柏
理柏

日期
基金類別
基金名稱關鍵字
*資料以該公司公告為準 *資料來源: 理柏(Lipper)


【歐元債券】
加入自選視窗基金名稱基金英文名稱報酬率(原幣別)年化標準差三年(台幣)β三年(台幣)Sharpe三年(台幣)Treynor三年(台幣)Alpha三年(台幣)
一個月
三個月
六個月
一年
二年
三年
五年
自今年以來十年
法巴歐元債券基金 年配 (歐元)BNP Paribas Euro Bond Classic Dis-0.3-0.56-0.581.195.892.81-11.68-0.03-5.468.531.01-0.11-0.17-0.07
富達基金-歐元債券基金 A股 歐元Fidelity Funds - Euro Bond A-EUR0.09-0.3-0.850.418.384.64-11.47-0.623.149.481.31-0.06-0.090.02
貝萊德歐元優質債券基金 A2 歐元BGF Euro Bond Fund A2 EUR-0.22-0.1101.77.325.47-10.310.690.888.621.02-0.06-0.10.01
法巴歐元債券基金 C (歐元)BNP Paribas Euro Bond Classic Cap-0.29-0.55-0.581.195.892.81-11.68-0.03-5.478.541.01-0.11-0.17-0.07
法巴歐元債券基金 I (歐元)BNP Paribas Euro Bond I Cap-0.23-0.42-0.281.817.224.75-8.820.380.758.541.01-0.08-0.12-0.01
施羅德環球基金系列-歐元債券(歐元)A-累積Schroder ISF EURO Bond A Acc EUR-0.050.320.312.138.924.47-12.771.16-1.488.621.02-0.08-0.13-0.02
施羅德環球基金系列-歐元債券(歐元)C-累積Schroder ISF EURO Bond C Acc EUR-0.010.420.532.569.855.81-10.891.442.448.621.02-0.06-0.090.01
施羅德環球基金系列-歐元債券(歐元)C-年配浮動Schroder ISF EURO Bond C Dis EUR AV-0.010.420.532.569.855.8-10.881.442.458.621.02-0.06-0.090.01
瑞萬通博基金-綠色債券基金B(歐元)Vontobel Fund-Green Bond B EUR Acc0.080.530.161.766.824.35-13.350.99-0.39.31.1-0.07-0.12-0.02
貝萊德歐元優質債券基金 A2 美元BGF Euro Bond Fund A2 USD2.032.9812.097.1215.4223.01-12.2713.234.798.661.010.060.190.01
施羅德環球基金系列-歐元債券(歐元)A1-累積Schroder ISF EURO Bond A1 Acc EUR-0.090.180.041.577.732.76-15.130.79-6.748.621.02-0.11-0.17-0.07
施羅德環球基金系列-歐元債券(歐元)I-累積Schroder ISF EURO Bond I Acc EUR0.020.540.753.0310.857.26-8.831.757.678.631.02-0.03-0.050.05
貝萊德歐元優質債券基金 A3 歐元BGF Euro Bond Fund A3 EUR-0.24-0.120.021.717.35.45-10.330.720.868.621.02-0.06-0.10.01
貝萊德歐元優質債券基金 A3 美元BGF Euro Bond Fund A3 USD2.082.9812.117.1715.4323.01-12.2413.254.838.671.010.060.190.01
富達基金-歐元債券基金 A股 月配息 歐元Fidelity Funds - Euro Bond A-MDIST-EUR0.13-0.21-0.80.518.424.69-11.39-0.573.229.521.31-0.06-0.090.02
資本集團歐元債券基金 (盧森堡) B 歐元Capital Group Euro Bond Fund (LUX) B EUR-0.32-0.06-0.061.877.063.75-11.350.64-0.388.631.06-0.09-0.14-0.04
資本集團歐元債券基金 (盧森堡) B 美元Capital Group Euro Bond Fund (LUX) B USD2.212.9612.77.8315.4520.81-13.0913.63.828.711.030.040.14-0.05
PIMCO-歐元債券基金-E級類別歐元(累積股份)PIMCO GIS Euro Bond E Cl EUR Acc-0.10.10.11.757.334.3-12.090.84-1.078.611.01-0.08-0.13-0.03
富達基金-歐元債券基金 A股 累積 歐元Fidelity Funds - Euro Bond A-ACC-EUR0.07-0.26-0.840.468.384.66-11.43-0.593.189.471.31-0.06-0.090.02
貝萊德歐元優質債券基金 D2 歐元BGF Euro Bond Fund D2 EUR-0.2-0.030.172.058.046.56-8.750.934.448.621.02-0.04-0.070.04
富達基金-歐元債券基金 Y股 累積 歐元Fidelity Funds - Euro Bond Y-ACC-EUR0.13-0.13-0.620.829.175.84-9.83-0.316.979.51.31-0.04-0.070.05
貝萊德歐元優質債券基金 I2 歐元BGF Euro Bond Fund I2 EUR-0.2100.282.238.377.07-8.011.066.118.631.02-0.04-0.060.05
瑞萬通博基金-綠色債券基金AM(美元月配)Vontobel Fund-Green Bond AM USD Dis2.33.5412.57.2714.4120.14-16.7813.860.049.291.050.040.12-0.07
貝萊德歐元優質債券基金 D3 歐元BGF Euro Bond Fund D3 EUR-0.21-0.030.142.018.036.56-8.770.94.438.621.02-0.04-0.070.04
貝萊德歐元優質債券基金 D2 美元BGF Euro Bond Fund D2 USD2.083.0612.37.5216.2224.29-10.7413.498.58.671.010.070.220.04
貝萊德歐元優質債券基金 Hedged A2 美元BGF Euro Bond Fund A2 USD Hedged00.511.13.5911.1612.25-2.672.0620.666.670.38-0.04-0.16-0.13
貝萊德歐元優質債券基金 Hedged D2 美元BGF Euro Bond Fund D2 USD Hedged00.561.193.9511.9813.47-0.822.3325.136.680.38-0.02-0.08-0.1
資本集團歐元債券基金(盧森堡) ZCapital Group Euro Bond Fund (LUX) Z EUR-0.2900.172.368.095.28-9.160.935.088.591.05-0.06-0.10
資本集團歐元債券基金(盧森堡) ZdCapital Group Euro Bond Fund (LUX) Zd EUR-0.240.030.212.358.095.35-9.080.955.28.61.05-0.06-0.10
資本集團歐元債券基金(盧森堡) Z (美元)Capital Group Euro Bond Fund (LUX) Z USD2.213.0412.968.3216.5922.57-10.9613.979.438.711.030.060.18-0.01
資本集團歐元債券基金(盧森堡) Zd (美元)Capital Group Euro Bond Fund (LUX) Zd USD2.283.1113.028.3816.6222.64-10.8814.029.68.691.030.060.180
富達基金-歐元債券基金 A股 累積 美元避險Fidelity Funds - Euro Bond A-ACC-USD H0.310.310.152.2612.1611.21-4.240.6923.357.250.48-0.04-0.18-0.17
貝萊德歐元優質債券基金 Hedged I2 美元BGF Euro Bond Fund I2 USD Hedged00.651.314.1112.3114.06-0.082.39 6.70.38-0.01-0.04-0.09
貝萊德歐元優質債券基金 I4 歐元BGF Euro Bond Fund I4 EUR-0.2100.222.198.47.15-8.010.98 8.61.03-0.04-0.060.05
貝萊德歐元優質債券基金 Hedged I4美元BGF Euro Bond Fund I4 USD Hedged0.120.681.444.1912.5714.30.112.5 6.680.39-0.01-0.03-0.08

※報酬率以基金原始計價幣別計算一年以上期間為累積報酬率
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