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)


【台灣中小型公司股票】
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)
一個月
三個月
六個月
一年
二年
三年
五年
自今年以來十年
群益中小型股證券投資信託基金Capital Medium & Small Cap Fund5.239.869.6440.916.2348.3552.2433.01105.4318.741.120.190.32
瀚亞中小型股證券投資信託基金Eastspring Investments Small Capital Fund10.6514.4514.8331.0513.751.5671.9224.7390.9717.74 0.210
富邦精銳中小證券投資信託基金Fubon Elite Fund6.789.2714.9441.8721.4546.3139.1534.8510019.11 0.180
摩根中小證券投資信託基金JPMorgan (Taiwan) Smaller Company Fund4.536.144.8528.18-8.531.0934.6422.9335.7816.68 00
日盛小而美證券投資信託基金Jih Sun Small Cap Fund9.6812.9514.6636.976.0615.0444.9432.8575.5615.92 0.070
保德信中小型股證券投資信託基金Prudential Financial Small & Medium Cap Fund5.9613.1721.4455.5819.1241.471.5539.2996.4620.78 0.150
第一金小型精選證券投資信託基金FSITC Small Capital Fund3.044.996.3622.051.1333.8349.421.54103.220.09 0.120
統一中小證券投資信託基金UPAMC Small and Medium Cap Fund8.6713.8213.5530.849.0142.2174.9227.02125.8920.551.090.150.52
台新台灣中小證券投資信託基金Taishin Taiwan Small and Medium Cap Fund4.6812.1418.1651.736.1245.81 36.99 18.73 0.180
國泰中小成長證券投資信託基金 新台幣Cathay Small & Medium Cap Fund TWD9.7814.2818.9242.897.7628.9941.0533.5774.6717.43 0.130
復華中小精選證券投資信託基金Fuh Hwa Small Capital Fund3.425.475.9525.1617.6363.7292.1419.22199.6622.031.210.210.92
野村中小證券投資信託基金Nomura Taiwan Small Cap Fund8.0614.5317.0436.0120.1644.7582.2933.19190.2617.37 0.190
永豐中小證券投資信託基金 ASinoPac Small & Medium Capital Fund A2.365.516.1123.1714.1949.7963.0220.543.3715.88 0.230
街口中小型證券投資信託基金JKO Small Capital Fund10.0514.1715.7916.012.2624.7224.1526.23.8320.77 0.090
元大台灣中型100證券投資信託基金Yuanta/P-shares Taiwan Mid-Cap 100 ETF4.245.267.4327.9216.7143.6340.2325.6782.1513.420.580.24 
中國信託台灣活力證券投資信託基金CTBC Taiwan Small-Cap Fund5.394.84-2.0214.56-2.7629.4170.878.31159.316.92 0.130
德信台灣主流中小證券投資信託基金Reliance Taiwan Main Stream Small & Medium Cap Fd5.787.2416.4741.814.5735.262.0529.8 18.31.030.150.14
野村中小證券投資信託基金 SNomura Taiwan Small Cap Fund S0000   0    0
富邦臺灣中小 A 級動能 50 ETF 證券投資信託基金Fubon Taiwan Small-Mid Cap Alpha Momentum 50 ETF4.439.7414.5835.81   31.76     

※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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