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)


【亞洲太平洋股票】
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
安聯東方入息基金 P 配息 (美元)Allianz Oriental Income P (USD)-0.916.2620.0729.0741.6149.840.2631.01209.7911.431.060.180.7-0.1
摩根太平洋證券(美元)(累計)JPMorgan Pacific Securities (acc) - USD-3.425.8314.482339.2138.0810.7623.9125.7610.241.030.140.5-0.3
新加坡大華亞太增長基金 星幣United Asia Pacific Growth Fund SGD-3.386.5117.5217.9730.4137.0126.416.2756.3710.720.880.210.64-0.06
PGIM保德信亞太證券投資信託基金PGIM Asia-Pacific Fund0.1110.732524.4854.1866.1356.6722.18101.6910.49 0.43  
富達基金-太平洋基金 A股 美元Fidelity Funds - Pacific A-USD-1.765.4824.432.74244.6817.634.5585.414.181.170.140.55-0.35
荷寶資本成長基金-荷寶亞太優越股票 D 歐元Robeco Asia-Pacific Equities D EUR-2.189.1716.3815.2241.743.962.6716.3592.5110.290.910.250.830.22
統一亞太證券投資信託基金UPAMC Asia Pacific Fund-1.812.9741.3426.2350.6261.348.423.37124.116.11.010.261.180.15
安聯東方入息基金-A配息類股(美元)Allianz Oriental Income A (USD)-0.976.0319.5727.9839.2446.0434.4330184.5811.411.060.160.63-0.17
元大亞太成長證券投資信託基金Yuanta Asia Pacific Growth Fund0.1110.7621.418.9533.4841.15-5.0421.23-17.1314.550.980.20.85-0.27
野村亞太高股息證券投資信託基金 累積 (新臺幣)Nomura Asia Pacific High Dividend Fd Acc TWD1.7115.5833.2322.3833.9332.8418.7318.3360.2215.251.140.150.58-0.61
新加坡大華亞太增長基金 美元United Asia Pacific Growth Fund USD-2.915.517.0122.1234.4344.9630.7722.4770.2310.770.890.190.73-0.06
復華亞太成長證券投資信託基金Fuh Hwa Asia Pacific Equity Fund-1.6320.1248.7127.5347.7142.7416.9225.03130.5117.081.090.180.79-0.36
凱基台商天下證券投資信託基金KGI Pan-Asia Taiwan Enterprises Fund0.9718.948.8947.2367.2278.173.9342.74220.8117.07 0.31  
富邦亞洲機會證券投資信託基金Fubon Asia Opportunity Fund-4.22.3421.5529.0344.2949.0116.6926.5468.9213.9 0.25  
野村亞太高股息證券投資信託基金 季配息 (新臺幣)Nomura Asia Pacific High Dividend Fd Qtrly Div TWD1.6715.5733.2222.4334.0432.8718.6918.3260.1715.281.140.150.58-0.61
摩根東方內需機會證券投資信託基金JPMorgan (Taiwan) Asia Domestic Opportunities Fund-1.2413.0425.422.3436.8835.877.820.27101.3413.56 0.19  
群益東方盛世證券投資信託基金Capital East Millennium Equity Fund0.5313.9229.9832.0659.5651.4916.7430.3732.8614.330.80.251.270.15
安聯東方入息基金 IT 累積類股(美元)Allianz Oriental Income IT (USD)-0.916.2720.129.1241.7349.9840.5431.06211.0811.431.060.180.7-0.1
安聯東方入息基金 I 配息 (美元)Allianz Oriental Income I (USD)-0.916.2620.129.1341.7349.9840.5431.06211.0411.431.060.180.7-0.1
富達基金-太平洋基金 Y股 累積 美元Fidelity Funds - Pacific Y-ACC-USD-1.75.6924.933.8544.4448.3622.6935.59101.6814.171.160.160.61-0.28
荷寶資本成長基金-荷寶亞太優越股票 D 美元Robeco Asia-Pacific Equities D USD-1.838.2318.9726.650.7162.1857.830.39111.5410.340.870.31.10.27
統一新亞洲科技能源證券投資信託基金UPAMC New Asian Technology And Energy Fund1.0418.271.3248.53117.94152.5144.7245.25319.124.56 0.35  
富達基金-太平洋基金Y股累計歐元Fidelity Funds - Pacific Y-ACC-EUR-2.276.622.221.6935.8332.0126.3121.0283.4714.241.10.130.47-0.19
富達基金-太平洋基金Y股美元Fidelity Funds - Pacific Y-USD-1.725.6924.8733.8344.3948.322.6835.52101.4514.181.170.160.61-0.28
安聯東方入息基金 A 配息 (美元避險)Allianz Oriental Income A (H-USD)0.29.7625.9233.5953.169.277.531.62260.6211.920.730.291.480.5
國泰亞洲成長證券投資信託基金 新台幣Cathay Asian Growth Fund TWD0.9420.4440.4932.5955.1867.521.5332.0478.3115.9 0.29  
國泰亞洲成長證券投資信託基金 美元Cathay Asian Growth Fund USD-1.2217.3633.8836.9454.3864.811.5537.8386.3615.55 0.2  
荷寶資本成長基金-荷寶亞太優越股票 M 美元Robeco Asia-Pacific Equities M USD-1.878.118.6825.9849.2359.7853.9229.81101.2310.340.870.281.050.23
富達基金-太平洋基金 A股 美元避險Fidelity Funds - Pacific A-USD-DIS H-0.65930.1937.9752.7562.8853.4536.19129.2213.070.880.261.10.22
野村亞太高股息證券投資信託基金 累積 (人民幣)Nomura Asia Pacific High Dividend Fd Acc CNY00000000 6.060-37.332155.23-0.12
野村亞太高股息證券投資信託基金 季配息 (人民幣)Nomura Asia Pacific High Dividend Fd Qtrly Div CNY00000000 6.060-37.332155.23-0.12
元大亞太優質高股息100指數證券投資信託基金 A類型 (新台幣)Yuanta iSTOXX MUTB AsPac Qlty Div 100 Idx A TWD4.435.417.6315.7442.4359.0578.0417.63 10.650.920.381.26-0.09
元大亞太優質高股息100指數證券投資信託基金 B類型 (新台幣)Yuanta iSTOXX MUTB AsPac Qlty Div 100 Idx B TWD4.485.4317.5915.7642.5759.2177.9117.73 10.720.920.381.26-0.1
元大亞太優質高股息100指數證券投資信託基金 I類型 (新台幣)Yuanta iSTOXX MUTB AsPac Qlty Div 100 Idx I TWD4.435.417.6315.7442.4359.0578.0417.63 10.650.920.381.26-0.09
元大亞太優質高股息100指數證券投資信託基金 B類型 (美元)Yuanta iSTOXX MUTB AsPac Qlty Div 100 Idx B USD2.242.7112.0819.6141.856.5863.2722.6 10.750.940.290.92-0.14
元大亞太優質高股息100指數證券投資信託基金 B類型 (澳幣)Yuanta iSTOXX MUTB AsPac Qlty Div 100 Idx B AUD2.182.5710.2418.954362.2683.0716.44 11.190.980.451.03-0.14
野村亞太高股息證券投資信託基金 S 累積 (新臺幣)Nomura Asia Pacific High Dividend Fd S Acc TWD000001.6311.240 7.760.35-0.04-0.25-0.48
統一大東協高股息證券投資信託基金 新臺幣UPAMC Grand ASEAN High Dividend Fund TWD0.2610.3227.0120.0833.8839.8755.9419.98 9.5 0.3  
統一大東協高股息證券投資信託基金 美元UPAMC Grand ASEAN High Dividend Fund USD-1.857.5121.072433.2137.6543.0825.15 9.69 0.16  
統一大東協高股息證券投資信託基金 人民幣UPAMC Grand ASEAN High Dividend Fund CNY-2.256.7319.2221.4132.3236.4853.9221.5 9.71 0.3  
國泰亞洲成長證券投資信託基金 人民幣Cathay Asian Growth Fund CNY-1.9316.5131.7133.5752.7365.39 32.81 15.33 0.28  
國泰亞洲成長證券投資信託基金 澳幣Cathay Asian Growth Fund AUD-1.2917.1731.6836.1555.6470.79 30.21 15.32 0.27  
中國信託優息 ETF 傘型證券投資信託基金之中國信託亞太高股息 ETF 證券投資信託基金CTBC Asia Pacific High Dividend ETF1.157.5918.0117.44   15.83      
路博邁台日雙星股票證券投資信託基金T累積(新臺幣)NB Taipan Twin Stars Equity TWD T Acc3.9212.5833.63           
路博邁台日雙星股票證券投資信託基金T月配(新臺幣)NB Taipan Twin Stars Equity TWD T (Monthly)3.9112.733.66           
路博邁台日雙星股票證券投資信託基金N累積(新臺幣)NB Taipan Twin Stars Equity TWD N Acc3.8412.5833.63           
路博邁台日雙星股票證券投資信託基金N月配(新臺幣)NB Taipan Twin Stars Equity TWD N (Monthly)3.9112.6133.66           
路博邁台日雙星股票證券投資信託基金T累積(美元)NB Taipan Twin Stars Equity USD T Acc1.649.7127.35           
路博邁台日雙星股票證券投資信託基金T月配(美元)NB Taipan Twin Stars Equity USD T (Monthly)1.739.8427.49           
路博邁台日雙星股票證券投資信託基金N累積(美元)NB Taipan Twin Stars Equity USD N Acc1.649.7127.35           
路博邁台日雙星股票證券投資信託基金N月配(美元)NB Taipan Twin Stars Equity USD N (Monthly)1.659.7527.39           
路博邁台日雙星股票證券投資信託基金T累積(日圓)NB Taipan Twin Stars Equity JPY T Acc3.1116.5738.06           
路博邁台日雙星股票證券投資信託基金T月配(日圓)NB Taipan Twin Stars Equity JPY T (Monthly)3.1216.638.09           
路博邁台日雙星股票證券投資信託基金N累積(日圓)NB Taipan Twin Stars Equity JPY N Acc3.1916.5738.06           
路博邁台日雙星股票證券投資信託基金N月配(日圓)NB Taipan Twin Stars Equity JPY N (Monthly)3.216.638.09           

※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
理柏