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 Dis0.360.011.60.278.737.2-12.110.33-5.788.381.02-0.04-0.06-0.07
富達基金-歐元債券基金 A股 歐元Fidelity Funds - Euro Bond A-EUR0.160.11.71-1.1611.1810.51-11.92-0.463.319.141.290.010.020.02
貝萊德歐元優質債券基金 A2 歐元BGF Euro Bond Fund A2 EUR0.440.182.061.0610.110.27-10.931.131.028.431.010.010.020.01
法巴歐元債券基金 C (歐元)BNP Paribas Euro Bond Classic Cap0.360.021.60.278.747.19-12.110.33-5.788.381.02-0.04-0.06-0.07
法巴歐元債券基金 I (歐元)BNP Paribas Euro Bond I Cap0.420.191.90.8910.19.26-9.250.80.428.381.020-0.01-0.01
施羅德環球基金系列-歐元債券(歐元)A-累積Schroder ISF EURO Bond A Acc EUR0.270.272.151.4811.439.39-13.531.43-1.48.40.9900-0.01
施羅德環球基金系列-歐元債券(歐元)C-累積Schroder ISF EURO Bond C Acc EUR0.310.382.371.9112.3810.8-11.681.752.528.40.990.020.030.03
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 AV0.330.412.391.9312.4110.83-11.641.782.548.40.990.020.030.03
瑞萬通博基金-綠色債券基金B(歐元)Vontobel Fund-Green Bond B EUR Acc0.320.692.430.849.6110.61-13.971.31-1.238.931.080.020.03-0.01
貝萊德歐元優質債券基金 A2 美元BGF Euro Bond Fund A2 USD0.960.2810.746.1122.0532.34-10.6714.325.938.511.010.130.390.01
施羅德環球基金系列-歐元債券(歐元)A1-累積Schroder ISF EURO Bond A1 Acc EUR0.220.131.870.9210.217.6-15.881.01-6.688.390.99-0.03-0.05-0.06
施羅德環球基金系列-歐元債券(歐元)I-累積Schroder ISF EURO Bond I Acc EUR0.350.492.62.3713.4112.32-9.632.17.778.40.990.050.070.06
貝萊德歐元優質債券基金 A3 歐元BGF Euro Bond Fund A3 EUR0.460.222.061.0510.110.28-10.91.191.068.431.010.010.020.01
貝萊德歐元優質債券基金 A3 美元BGF Euro Bond Fund A3 USD0.950.3110.786.1322.0832.38-10.6814.335.938.511.010.130.390.01
富達基金-歐元債券基金 A股 月配息 歐元Fidelity Funds - Euro Bond A-MDIST-EUR0.110.171.77-1.1611.1610.54-11.93-0.473.379.191.30.010.020.02
資本集團歐元債券基金 (盧森堡) B 歐元Capital Group Euro Bond Fund (LUX) B EUR0.320.131.930.969.938.5-11.610.96-0.448.431.05-0.02-0.02-0.03
資本集團歐元債券基金 (盧森堡) B 美元Capital Group Euro Bond Fund (LUX) B USD0.7-0.2110.656.4722.1430-11.4814.44.58.531.030.110.33-0.05
PIMCO-歐元債券基金-E級類別歐元(累積股份)PIMCO GIS Euro Bond E Cl EUR Acc0.390.2520.949.959.42-12.571.24-0.878.380.9800-0.01
富達基金-歐元債券基金 A股 累積 歐元Fidelity Funds - Euro Bond A-ACC-EUR0.130.131.73-1.1611.1310.48-11.93-0.463.319.141.30.010.020.01
貝萊德歐元優質債券基金 D2 歐元BGF Euro Bond Fund D2 EUR0.480.272.251.4110.8811.42-9.351.414.68.431.020.030.050.04
富達基金-歐元債券基金 Y股 累積 歐元Fidelity Funds - Euro Bond Y-ACC-EUR0.130.191.91-0.8111.911.67-10.38-0.197.19.171.30.030.040.04
貝萊德歐元優質債券基金 I2 歐元BGF Euro Bond Fund I2 EUR0.490.352.291.5611.2811.97-8.621.566.328.441.010.040.060.06
瑞萬通博基金-綠色債券基金AM(美元月配)Vontobel Fund-Green Bond AM USD Dis0.670.6911.195.8420.831.22-15.414.62-0.128.911.030.110.36-0.05
貝萊德歐元優質債券基金 D3 歐元BGF Euro Bond Fund D3 EUR0.490.312.231.4110.911.41-9.381.44.598.441.010.030.050.04
貝萊德歐元優質債券基金 D2 美元BGF Euro Bond Fund D2 USD1.020.4110.986.5122.9433.74-9.0714.649.718.521.010.140.420.04
貝萊德歐元優質債券基金 Hedged A2 美元BGF Euro Bond Fund A2 USD Hedged0.650.873.342.9614.0917.16-3.132.7321.036.670.350.040.16-0.08
貝萊德歐元優質債券基金 Hedged D2 美元BGF Euro Bond Fund D2 USD Hedged0.690.93.483.414.9718.52-1.353.0425.566.680.350.060.25-0.05
資本集團歐元債券基金(盧森堡) ZCapital Group Euro Bond Fund (LUX) Z EUR0.40.232.171.4611.0210.11-9.411.3458.41.040.010.010.01
資本集團歐元債券基金(盧森堡) ZdCapital Group Euro Bond Fund (LUX) Zd EUR0.330.192.111.361110.07-9.431.285.048.411.040.010.010.01
資本集團歐元債券基金(盧森堡) Z (美元)Capital Group Euro Bond Fund (LUX) Z USD0.74-0.110.896.9523.2531.83-9.3114.8110.188.541.030.130.37-0.01
資本集團歐元債券基金(盧森堡) Zd (美元)Capital Group Euro Bond Fund (LUX) Zd USD0.7-0.1110.956.9923.2531.86-9.2814.8210.288.521.030.130.37-0.01
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 H0.310.772.90.6915.0617.22-4.64123.737.220.440.030.13-0.11
貝萊德歐元優質債券基金 Hedged I2 美元BGF Euro Bond Fund I2 USD Hedged0.731.053.653.5615.3119.16-0.563.14 6.70.350.070.29-0.03
貝萊德歐元優質債券基金 I4 歐元BGF Euro Bond Fund I4 EUR0.550.342.421.6411.2712.07-8.541.53 8.421.020.040.060.06
貝萊德歐元優質債券基金 Hedged I4美元BGF Euro Bond Fund I4 USD Hedged0.670.983.683.5815.4519.34-0.373.19 6.670.360.070.3-0.03

※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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