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)


【新台幣靈活混合型】
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
野村平衡證券投資信託基金Nomura Taiwan Balanced Fund6.520.1450.6529.0674.81155.76195.6127.22381.9919.01 0.46  
復華傳家證券投資信託基金Fuh Hwa Heirloom Balance Fund12.4825.0262.8735.0476.43116.6590.8532.65204.7118.890.890.382.26-0.03
兆豐萬全證券投資信託基金 AMega Balanced Fund A10.9621.8836.6410.2433.2343.2485.699.6194.916.91 0.18  
野村鴻利證券投資信託基金Nomura Taiwan Dynamic Asset Allocation Fund8.8124.1955.0334.0469.36147.31184.3329.84422.1319.22 0.44  
群益平衡王證券投資信託基金Capital Value Balance Fund5.4214.3625.616.9835.0283.98102.2114.88146.1714.28 0.38  
群益真善美證券投資信託基金Capital Balance Fund9.522.1848.3322.1134.9676.55100.3319.43102.5818.94 0.27  
摩根平衡證券投資信託基金JPMorgan (Taiwan) Balanced Fund5.313.0636.9226.9563.66100.33111.5124.2172.5814.69 0.43  
瀚亞理財通證券投資信託基金 A類型 (新台幣)Eastspring Investments Balance Fund A TWD5.0610.1821.7214.2437.460.9475.5412.23148.910.46 0.4  
復華人生目標證券投資信託基金Fuh Hwa Life Goal Balance Fund12.6924.0756.4432.5465.71105.32100.5831.81255.718.450.860.362.17-0.1
聯邦金鑽平衡證券投資信託基金 A類型 (新臺幣)Union Golden Balanced Fund A (TWD)8.714.4233.1924.5261.9195.3699.421.94271.5615.38 0.4  
摩根全球平衡證券投資信託基金JPMorgan (Taiwan) Global Balanced Fund2.329.235.67.3215.5819.17-1.997.9915.527.19 0.17  
復華全球平衡證券投資信託基金 (新臺幣)Fuh Hwa Global Balanced Fund TWD12.712949.943360.5464.8972.0632.33127.1116.411.020.271.230.43
第一金中概平衡證券投資信託基金FSITC Greater China Balanced Fund12.0930.1557.6532.9764.12123.85131.734276.1517.63 0.43  
野村鑫平衡組合證券投資信託基金Nomura Global Balanced Portfolio3.8311.3213.118.4432.3333.6952.826.8981.478.94 0.26  
復華神盾證券投資信託基金Fuh Hwa Aegis Fund11.5924.6658.6927.8859.78101.3590.1426.51267.1720.380.970.311.87-0.41
群益安家證券投資信託基金Capital Strategic Balance Fund9.0220.4145.9628.6529.9957.6457.2324.99185.7417.71 0.22  
瀚亞股債入息組合證券投資信託基金 A類型 (新臺幣)Eastspring Investments Quality Quantity Fund A TWD2.99.0111.938.1731.8736.7148.475.3763.577.37 0.35  
元大全球ETF穩健組合證券投資信託基金 A類型 (新台幣)Yuanta Global ETFs Stable Fund of Funds A TWD3.239.939.936.926.8330.2738.715.3939.677.94 0.26  
復華奧林匹克全球組合證券投資信託基金Fuh Hwa Olympic Global Fund1.024.990.11-0.0611.9614.7617.79-1.3818.85.95 0.15  
摩根亞太高息平衡證券投資信託基金 累積型JPMorgan (Taiwan) Pacific Balanced Fund - Acc2.558.9412.7212.1427.6537.8634.271338.117.57 0.35  
台新高股息平衡證券投資信託基金A類型Taishin High Dividend Yield Balanced Fund A-2.311.2415.62.3847.53111.29129.44-1.81259.7816.57 0.41  
群益多重資產組合證券投資信託基金Capital Multi-Asset Allocation Fund3.3310.715.728.3138.0138.0837.085.5172.1210.27 0.26  
富達卓越領航全球組合證券投資信託基金Fidelity Excellent Navigation Global Fund of Funds3.2910.3312.7214.6237.1147.5362.5214.9486.299.62 0.35  
柏瑞全球金牌組合證券投資信託基金PineBridge Global Medallion Fund of Funds1.646.569.786.2925.828.8827.945.1843.96.39 0.31  
復華亞太平衡證券投資信託基金Fuh Hwa Asian Pacific Balanced Fund7.918.8133.419.342.8340.1528.4821.16 12.43 0.23  
群益亞太新趨勢平衡證券投資信託基金Capital Asia-Pacific Mega-Trend Balance Fund7.572532.731.0364.6954.6138.9730.2159.9513.53 0.28  
復華奧林匹克全球優勢組合證券投資信託基金 A類型 (新臺幣)Fuh Hwa Olympic II Fund of Funds A TWD3.6110.6910.988.2130.5737.9544.826.263.068.02 0.33  
復華高益策略組合證券投資信託基金Fuh Hwa Strategic High Income Fund of Funds1.625.18-0.2206.396.644.46-2.25.666.28 0.03  
復華新興債股動力組合證券投資信託基金 (新臺幣)Fuh Hwa Emerging Market Active Alloc FoF TWD3.9915.0818.9714.3140.7850.6925.3113.7724.929.97 0.35  
摩根亞太高息平衡證券投資信託基金 季配息型JPMorgan (Taiwan) Pacific Balanced Fund - Dist2.548.9412.7112.1427.6537.8434.751338.67.57 0.35  
瀚亞股債入息組合證券投資信託基金 B類型 (新臺幣)Eastspring Investments Quality Quantity Fund B TWD2.99.0111.938.1731.8736.7148.745.3763.287.37 0.35  
復華全球戰略配置強證券投資信託基金 (新臺幣)Fuh Hwa Global Strategic Alloctn Fund of Funds TWD4.1110.8414.549.6631.435.237.378.1254.098.08 0.31  
安聯四季雙收入息組合證券投資信託基金 A類型 (新臺幣)Allianz Global Investors All Ssn Dbl Inc FoF A TWD3.0810.3311.798.3730.0838.7351.675.9165.247.71 0.35  
安聯四季雙收入息組合證券投資信託基金 B類型 (新臺幣)Allianz Global Investors All Ssn Dbl Inc FoF B TWD3.1110.3511.828.3630.1438.6951.535.9165.287.73 0.35  
聯博收益傘型證券投資信託基金之聯博多元資產收益組合基金 A2類型 (新台幣)ABITL Multi-Asset Income Fund of Funds A2 TWD1.576.279.537.7127.6133.7739.437.1854.887.05 0.34  
聯博收益傘型證券投資信託基金之聯博多元資產收益組合基金 AD類型 (新台幣)ABITL Multi-Asset Income Fund of Funds AD TWD1.546.239.567.6827.5933.7339.47.2354.897.06 0.33  
聯邦環太平洋平衡證券投資信託基金 A類型 (新臺幣)Union APEC Balanced Fund A (TWD)11.3221.833630.7653.7667.8582.226.94146.8611.26 0.41  
聯邦環太平洋平衡證券投資信託基金 B類型 (新臺幣)Union APEC Balanced Fund B (TWD)11.3121.7836.4131.1954.3868.7781.0327.514511.35 0.41  
國泰收益傘型證券投資信託基金之全球多重收益平衡證券投資信託基金 A類型 (新台幣)Cathay Global Multiple Income Balanced Fund A TWD2.48.3311.489.1229.334.2937.56.1750.057.8 0.31  
國泰收益傘型證券投資信託基金之全球多重收益平衡證券投資信託基金 B類型 (新台幣)Cathay Global Multiple Income Balanced Fund B TWD2.438.3811.519.1629.434.2937.786.2450.347.81 0.31  
國泰收益傘型證券投資信託基金之全球多重收益平衡證券投資信託基金 A類型 (美元)Cathay Global Multiple Income Balanced Fund A USD1.726.0915.2913.1536.8242.8335.5112.0867.27.8 0.22  
國泰收益傘型證券投資信託基金之全球多重收益平衡證券投資信託基金 B類型 (美元)Cathay Global Multiple Income Balanced Fund B USD1.716.0915.313.1636.8342.8535.4912.0967.297.79 0.22  
安聯四季雙收入息組合證券投資信託基金 A類型 (美元)Allianz Global Investors All Ssn Dbl Inc FoF A USD2.177.2516.3812.8637.1645.2942.5212.8677.587.78 0.27  
安聯四季雙收入息組合證券投資信託基金 B類型 (美元)Allianz Global Investors All Ssn Dbl Inc FoF B USD2.217.3716.412.9537.1645.3542.6912.976.577.78 0.28  
摩根多元入息成長證券投資信託基金 累積 新臺幣JPMorgan (Taiwan) Multi-Income Fd of Fds Acc TWD1.213.878.45.6420.4219.3223.896.233.846.15 0.2  
摩根多元入息成長證券投資信託基金 月配息 新臺幣JPMorgan (Taiwan) Multi-Income Fd of Fds Dist TWD1.213.98.455.7420.5419.3923.866.333.826.14 0.21  
摩根多元入息成長證券投資信託基金 累積 美元JPMorgan (Taiwan) Multi-Income Fd of Fds Acc USD1.043.4810.489.3429.9132.4635.739.99 6.38 0.21  
摩根多元入息成長證券投資信託基金 月配息 美元JPMorgan (Taiwan) Multi-Income Fd of Fds Dist USD1.043.4810.479.3329.8932.4135.689.9960.436.38 0.21  
摩根多元入息成長證券投資信託基金 月配息 人民幣JPMorgan (Taiwan) Multi-Income Fd of Fds Dist CNY0.882.548.567.1523.4323.4933.297.2572.647.02 0.28  
華南永昌多重資產入息平衡證券投資信託基金 累積 (新台幣)Hua Nan Multi-Assets Balanced Income Fund Acc TWD2.139.211.810.433944.7749.077.3699.638.65 0.36  
華南永昌多重資產入息平衡證券投資信託基金 月配 (新台幣)Hua Nan Multi-Assets Balanced Income Fund Dist TWD2.19.1511.7810.4239.0144.7449.067.3699.528.64 0.36  
華南永昌多重資產入息平衡證券投資信託基金 累積 (美元)Hua Nan Multi-Assets Balanced Income Fund Acc USD1.546.7218.5317.1648.8753.9943.0716.8119.738.67 0.29  
華南永昌多重資產入息平衡證券投資信託基金 月配 (美元)Hua Nan Multi-Assets Balanced Income Fund Dist USD1.156.1516.3414.8746.4251.5140.0614.27113.568.61 0.28  
瀚亞亞太豐收平衡證券投資信託基金 A類型 (新臺幣)Eastspring Investments Asian Inc Balanced A TWD3.18.777.517.3424.3232.313.617.4624.077.19 0.31  
瀚亞亞太豐收平衡證券投資信託基金 B類型 (新臺幣)Eastspring Investments Asian Inc Balanced B TWD3.18.777.517.3424.3232.313.617.4624.077.19 0.31  
瀚亞亞太豐收平衡證券投資信託基金 A類型 (美元)Eastspring Investments Asian Inc Balanced A USD2.165.8211.9411.8131.0738.597.1914.5629.267.26 0.21  
瀚亞亞太豐收平衡證券投資信託基金 B類型 (美元)Eastspring Investments Asian Inc Balanced B USD2.165.8211.9411.8131.0738.597.1714.5629.357.26 0.21  
瀚亞亞太豐收平衡證券投資信託基金 A類型 (澳幣)Eastspring Investments Asian Inc Balanced A AUD3.434.119.4912.527.0835.588.538.3837.477.38 0.29  
瀚亞亞太豐收平衡證券投資信託基金 B類型 (澳幣)Eastspring Investments Asian Inc Balanced B AUD3.434.119.4912.4927.0835.587.988.3737.587.38 0.29  
瀚亞亞太豐收平衡證券投資信託基金 A類型 (南非幣)Eastspring Investments Asian Inc Balanced A ZAR2.60.864.319.6921.5930.8312.545.172.277.73 0.04  
瀚亞亞太豐收平衡證券投資信託基金 B類型 (南非幣)Eastspring Investments Asian Inc Balanced B ZAR2.60.864.319.6921.5930.8312.515.173.567.73 0.04  
聯博多重資產傘型證券投資信託基金之聯博歐洲多重資產證券投資信託基金 A2 類型 (新台幣)ABITL European Multi-Asset Fund A2 TWD-0.285.078.2914.2629.8140.146.7616.4735.269.13 0.31  
聯博多重資產傘型證券投資信託基金之聯博亞太多重資產證券投資信託基金 A2 類型 (新台幣)ABITL Asia Pacific Multi-Asset Fund A2 TWD5.7410.8425.1527.5353.2964.4149.0731.1257.328.39 0.52  
聯博多重資產傘型證券投資信託基金之聯博歐洲多重資產證券投資信託基金 AD 類型 (新台幣)ABITL European Multi-Asset Fund AD TWD-0.35.138.3614.3729.7440.0746.8216.4435.379.15 0.31  
聯博多重資產傘型證券投資信託基金之聯博亞太多重資產證券投資信託基金 AD 類型 (新台幣)ABITL Asia Pacific Multi-Asset Fund AD TWD5.8310.925.2627.6753.3464.4949.2531.1657.358.39 0.52  
瀚亞亞太豐收平衡證券投資信託基金 A類型 (人民幣)Eastspring Investments Asian Inc Balanced A CNY2.134.559.7211.7727.2134.5714.2911.2846.226.97 0.4  
瀚亞亞太豐收平衡證券投資信託基金 B類型 (人民幣)Eastspring Investments Asian Inc Balanced B CNY2.124.559.7211.7627.2134.5615.4511.2846.566.97 0.4  
群益環球金綻雙喜證券投資信託基金 B類型 (新臺幣)Capital Global Abundant Income fund of Fund B TWD2.359.1110.615.9626.8925.5223.9745.917.25 0.24  
群益環球金綻雙喜證券投資信託基金 A類型 (新臺幣)Capital Global Abundant Income fund of Fund A TWD2.359.2310.76.0927.0425.5322.114.0145.967.32 0.24  
聯博收益傘型證券投資信託基金之聯博多元資產收益組合基金 A2類型 (美元)ABITL Multi-Asset Income Fund of Funds A2 USD1.395.5613.4812.1136.0644.1440.6812.9174.597.49 0.26  
聯博收益傘型證券投資信託基金之聯博多元資產收益組合基金 AD類型 (美元)ABITL Multi-Asset Income Fund of Funds AD USD1.445.5913.512.1436.0844.1340.712.9875.167.5 0.26  
聯博收益傘型證券投資信託基金之聯博多元資產收益組合基金 A2類型 (人民幣)ABITL Multi-Asset Income Fund of Funds A2 RMB1.144.7611.618.9128.4932.233.0110.1779.569.17 0.27  
聯博收益傘型證券投資信託基金之聯博多元資產收益組合基金 AD類型 (人民幣)ABITL Multi-Asset Income Fund of Funds AD RMB1.164.8311.619.0228.5332.2333.0110.2778.969.2 0.27  
聯博收益傘型證券投資信託基金之聯博多元資產收益組合基金 AD類型 (澳幣)ABITL Multi-Asset Income Fund of Funds AD AUD1.275.312.8810.7232.4237.4130.4511.5657.2312.92 0.22  
聯博收益傘型證券投資信託基金之聯博多元資產收益組合基金 AD類型 (南非幣)ABITL Multi-Asset Income Fund of Funds AD ZAR1.546.1414.6714.4342.1354.1561.1914.73152.5415.35 0.23  
群益環球金綻雙喜證券投資信託基金 A類型 (美元)Capital Global Abundant Income fund of Fund A USD1.436.2514.449.8433.4934.0919.899.9266.787.51 0.18  
群益環球金綻雙喜證券投資信託基金 B類型 (美元)Capital Global Abundant Income fund of Fund B USD1.436.2514.449.8433.4934.0919.899.9266.777.51 0.18  
群益環球金綻雙喜證券投資信託基金 A類型 (澳幣)Capital Global Abundant Income fund of Fund A AUD1.495.8613.668.630.4629.3314.598.1452.5711.66 0.17  
群益環球金綻雙喜證券投資信託基金 B類型 (澳幣)Capital Global Abundant Income fund of Fund B AUD1.495.8613.668.5930.4529.3314.588.1452.5311.66 0.17  
群益環球金綻雙喜證券投資信託基金 A類型 (南非幣)Capital Global Abundant Income fund of Fund A ZAR1.646.2314.2710.5237.242.7838.779.38125.413.95 0.16  
群益環球金綻雙喜證券投資信託基金 B類型 (南非幣)Capital Global Abundant Income fund of Fund B ZAR1.646.2314.2610.5137.1942.7738.779.37125.713.95 0.16  
國泰收益傘型證券投資信託基金之全球多重收益平衡證券投資信託基金 I類型 (美元)Cathay Global Multiple Income Balanced Fund I USD1.776.2615.6513.8638.5445.5439.8112.6781.377.8 0.24  
富邦中國多重資產型證券投資信託基金 A類型 (新臺幣)Fubon China Multi-Asset Fund A TWD-0.5531.8249.5731.357.9325.19-9.7732.3316.4426.7 0.07  
富邦中國多重資產型證券投資信託基金 B類型 (新臺幣)Fubon China Multi-Asset Fund B TWD-0.5531.8249.5731.357.9325.19-9.7632.3316.4226.7 0.07  
富邦中國多重資產型證券投資信託基金 A類型 (人民幣)Fubon China Multi-Asset Fund A CNY-1.5526.6552.6636.8461.6327.36-10.0837.0439.4326.75 0.08  
富邦中國多重資產型證券投資信託基金 B類型 (人民幣)Fubon China Multi-Asset Fund B CNY-1.5526.6552.6636.8461.6327.36-10.0737.0439.4426.75 0.08  
富邦中國多重資產型證券投資信託基金 A類型 (美元)Fubon China Multi-Asset Fund A USD-1.5127.9856.1337.3667.0231.49-17.9941.6119.5126.76 0.05  
富邦中國多重資產型證券投資信託基金 B類型 (美元)Fubon China Multi-Asset Fund B USD-1.527.9856.1337.3466.9831.45-18.0141.619.4826.76 0.05  
安聯四季雙收入息組合證券投資信託基金 B類型 (人民幣)Allianz Global Investors All Ssn Dbl Inc FoF B CNY2.126.0714.112.7433.3341.7151.729.9298.577.7 0.39  
摩根新興雙利平衡證券投資信託基金 累積型 新臺幣JPMorgan (Taiwan) Total EM Inc Solution Acc TWD3.035.5513.9715.138.4554.3842.7415.0657.911.4 0.33  
摩根新興雙利平衡證券投資信託基金 月配息 新臺幣JPMorgan (Taiwan) Total EM Inc Solution Dist TWD2.935.4413.851538.2454.1142.5714.9557.4311.4 0.33  
摩根新興雙利平衡證券投資信託基金 月配息 人民幣JPMorgan (Taiwan) Total EM Inc Solution Dist CNY2.212.8816.821840.8354.3438.1319.8482.7412.9 0.3  
摩根新興雙利平衡證券投資信託基金 月配息 美元JPMorgan (Taiwan) Total EM Inc Solution Dist USD2.43.7618.6820.3447.4364.5240.7322.4374.6811.04 0.26  
野村動態配置多重資產證券投資信託基金 累積 (新臺幣)Nomura Global Dynamically Multi-Asset Fund Acc TWD2.918.3811.392.930.8930.6826.062.2648.2911.79 0.18  
野村動態配置多重資產證券投資信託基金 月配 (新臺幣)Nomura Global Dynamically Multi-Asset Fund Div TWD2.918.3811.392.930.8930.6726.052.2648.2711.79 0.18  
野村動態配置多重資產證券投資信託基金 累積 (美元)Nomura Global Dynamically Multi-Asset Fund Acc USD2.276.3615.376.9638.5139.8621.918.0959.9111.64 0.14  
野村動態配置多重資產證券投資信託基金 月配 (美元)Nomura Global Dynamically Multi-Asset Fund Div USD2.276.3615.376.9638.5139.8621.98.0959.9411.64 0.14  
野村動態配置多重資產證券投資信託基金 累積 (人民幣)Nomura Global Dynamically Multi-Asset Fund Acc CNY1.974.4913.685.6833.0930.718.086.7268.0212.4 0.16  
野村動態配置多重資產證券投資信託基金 月配 (人民幣)Nomura Global Dynamically Multi-Asset Fund Div CNY24.6113.615.5632.9830.618.016.6167.4512.42 0.16  
野村動態配置多重資產證券投資信託基金 累積 (澳幣)Nomura Global Dynamically Multi-Asset Fund Acc AUD2.494.1115.048.1738.1638.3717.337.45615.06 0.15  
野村動態配置多重資產證券投資信託基金 月配 (澳幣)Nomura Global Dynamically Multi-Asset Fund Div AUD2.484.4114.97.9737.9438.1417.097.2857.9715.14 0.15  
野村動態配置多重資產證券投資信託基金 累積 (南非幣)Nomura Global Dynamically Multi-Asset Fund Acc ZAR2.474.9814.989.5843.0248.7435.988.6143.7915.36 0.12  
野村動態配置多重資產證券投資信託基金 月配 (南非幣)Nomura Global Dynamically Multi-Asset Fund Div ZAR2.515.5515.259.3743.1248.5935.488.7135.4515.78 0.12  
聯博多重資產傘型證券投資信託基金之聯博歐洲多重資產證券投資信託基金 AD 類型 (美元)ABITL European Multi-Asset Fund AD USD0.263.3311.8516.6535.9144.7460.9817.1668.67.65 0.25  
聯博多重資產傘型證券投資信託基金之聯博歐洲多重資產證券投資信託基金 AD 類型 (人民幣)ABITL European Multi-Asset Fund AD RMB02.59.9512.8427.6131.9651.2113.769.99.33 0.25  
聯博多重資產傘型證券投資信託基金之聯博歐洲多重資產證券投資信託基金 A2 類型 (歐元)ABITL European Multi-Asset Fund A2 EUR0.062.7510.1413.6330.0435.0444.5214.5 10.44 0.23  
聯博多重資產傘型證券投資信託基金之聯博亞太多重資產證券投資信託基金 A2 類型 (美金)ABITL Asia Pacific Multi-Asset Fund A2 USD5.289.6828.9232.1362.8876.9951.5837.3 7.47 0.4  
復華中國新經濟傘型證券投資信託基金之復華中國新經濟平衡證券投資信託基金 (新臺幣)Fuh Hwa China New Economy Balance Fund TWD10.6926.1847.4153.3792.1867.962.4542.7141.2615.96 0.29  
復華中國新經濟傘型證券投資信託基金之復華中國新經濟平衡證券投資信託基金 A類型 (人民幣)Fuh Hwa China New Economy Balance Fund CNY A9.8422.351.5360.8199.1470.5813.5248.6382.6215.58 0.32  
復華中國新經濟傘型證券投資信託基金之復華中國新經濟平衡證券投資信託基金 B類型 (人民幣)Fuh Hwa China New Economy Balance Fund CNY B9.8622.1351.4560.3798.8370.1113.1548.3482.3415.54 0.32  
摩根中國雙息平衡證券投資信託基金 累積型 新臺幣JPMorgan (Taiwan) China Income Fund Acc TWD0.9411.5715.1312.328.2833.24.4211.743.9813.29 0.18  
摩根中國雙息平衡證券投資信託基金 月配息 新臺幣JPMorgan (Taiwan) China Income Fund Dist TWD0.9411.5715.112.2128.0732.954.2411.6743.6313.29 0.18  
摩根中國雙息平衡證券投資信託基金 累積型 人民幣JPMorgan (Taiwan) China Income Fund Acc CNY0.178.6817.0114.5330.0333.081.9515.1872.8715.2 0.18  
摩根中國雙息平衡證券投資信託基金 月配息 人民幣JPMorgan (Taiwan) China Income Fund Dist CNY0.178.681714.5129.9833.11.7115.1772.0915.21 0.18  
聯邦環太平洋平衡證券投資信託基金 A類型 (人民幣避險)Union APEC Balanced Fund A (CNY-H)10.5318.9240.1934.4255.3465.4770.1832.63 12.17 0.35  
聯邦環太平洋平衡證券投資信託基金 B類型 (人民幣避險)Union APEC Balanced Fund B (CNY-H)10.5519.0438.2132.3952.6662.8568.230.07 12.14 0.35  
PGIM保德信中國好時平衡證券投資信託基金 累積型 新臺幣PGIM China Flexible Balanced A TWD1.6115.8314.2410.0812.9411.52-2.7110.24 11.24 0.05  
PGIM保德信中國好時平衡證券投資信託基金 月配息型 新臺幣PGIM China Flexible Balanced B TWD1.6115.8314.2510.0912.9511.52-2.7110.25 11.24 0.05  
PGIM保德信中國好時平衡證券投資信託基金 月配息型 美元PGIM China Flexible Balanced B USD0.6912.6918.9514.6719.0716.81-10.117.53 11.38 0.02  
PGIM保德信中國好時平衡證券投資信託基金 月配息型 人民幣PGIM China Flexible Balanced B CNY0.5711.2916.514.5115.513.5-1.5814.02 11.21 0.1  
國泰收益傘型證券投資信託基金之全球多重收益平衡證券投資信託基金 A類型 (澳幣)Cathay Global Multiple Income Balanced Fund A AUD2.764.1512.8413.6932.5739.7245.616.04 7.63 0.29  
國泰亞太入息平衡證券投資信託基金 A類型 (新臺幣)Cathay Asia Pacific Income Balanced Fund A TWD13.5325.5431.5127.0764.0663.6351.527.87 12.88 0.34  
國泰亞太入息平衡證券投資信託基金 B類型 (新臺幣)Cathay Asia Pacific Income Balanced Fund B TWD13.5225.5431.5227.0764.0863.6851.5227.87 12.87 0.34  
國泰亞太入息平衡證券投資信託基金 A類型 (美元)Cathay Asia Pacific Income Balanced Fund A USD12.4922.1536.9332.3772.9671.3942.4936.32 12.63 0.27  
國泰亞太入息平衡證券投資信託基金 B類型 (美元)Cathay Asia Pacific Income Balanced Fund B USD12.4722.1336.9132.3372.9871.442.5336.27 12.62 0.27  
國泰亞太入息平衡證券投資信託基金 A類型 (人民幣)Cathay Asia Pacific Income Balanced Fund A CNY12.420.6834.1632.3167.866.4151.5832.31 12.5 0.36  
國泰亞太入息平衡證券投資信託基金 A類型 (澳幣)Cathay Asia Pacific Income Balanced Fund A AUD13.6619.8933.9232.967.4567.5553.0328.86 12.5 0.31  
瀚亞股債入息組合證券投資信託基金 B類型 (人民幣)Eastspring Investments Quality Quantity Fund B CNY2.035.5713.8512.334.9239.446.138.53 7.71 0.35  
新光美國豐收平衡證券投資信託基金 A類型 (新台幣)Shin Kong US Harvest Balanced Fund A TWD0.883.92-0.96-2.318.787.959.93-3.72 7.35 0.04  
新光美國豐收平衡證券投資信託基金 B類型 (新台幣)Shin Kong US Harvest Balanced Fund B TWD0.913.88-1.02-2.398.727.929.83-3.74 7.35 0.04  
新光美國豐收平衡證券投資信託基金 A類型 (美元)Shin Kong US Harvest Balanced Fund A USD-0.080.922.911.6914.613.22.132.65 7.21 -0.02  
新光美國豐收平衡證券投資信託基金 B類型 (美元)Shin Kong US Harvest Balanced Fund B USD-0.020.942.951.714.6513.282.22.63 7.21 -0.02  
柏瑞環球多元資產證券投資信託基金 A類型 (新臺幣)PineBridge Global Multi-Asset Fund A TWD1.457.0711.067.8424.1425.1523.927.51 6.91 0.25  
柏瑞環球多元資產證券投資信託基金 B類型 (新臺幣)PineBridge Global Multi-Asset Fund B TWD1.457.0811.077.8524.1425.1323.887.51 6.91 0.25  
柏瑞環球多元資產證券投資信託基金 N類型 (新臺幣)PineBridge Global Multi-Asset Fund N TWD1.457.0711.077.8524.1425.1223.887.51 6.91 0.25  
柏瑞環球多元資產證券投資信託基金 A類型 (美元)PineBridge Global Multi-Asset Fund A USD1.115.9414.1211.6932.0535.5827.6512.29 7.11 0.19  
柏瑞環球多元資產證券投資信託基金 B類型 (美元)PineBridge Global Multi-Asset Fund B USD1.115.9414.1411.7232.0535.5627.612.32 7.11 0.19  
柏瑞環球多元資產證券投資信託基金 N類型 (美元)PineBridge Global Multi-Asset Fund N USD1.115.9514.1411.7232.0535.5627.6112.32 7.11 0.19  
柏瑞環球多元資產證券投資信託基金 A類型 (人民幣)PineBridge Global Multi-Asset Fund A CNY0.935.1112.49.3725.8826.5623.1910.01 8.17 0.24  
柏瑞環球多元資產證券投資信託基金 B類型 (人民幣)PineBridge Global Multi-Asset Fund B CNY0.935.1112.429.425.926.5423.1510.04 8.16 0.24  
柏瑞環球多元資產證券投資信託基金 N類型 (人民幣)PineBridge Global Multi-Asset Fund N CNY0.935.1112.429.425.926.5423.1510.04 8.16 0.24  
柏瑞環球多元資產證券投資信託基金 A類型 (南非幣)PineBridge Global Multi-Asset Fund A ZAR1.335.6213.6613.4235.5944.4148.5512.26 13.07 0.18  
柏瑞環球多元資產證券投資信託基金 B類型 (南非幣)PineBridge Global Multi-Asset Fund B ZAR1.325.6313.6813.4835.6244.4448.4812.3 13.06 0.18  
柏瑞環球多元資產證券投資信託基金 N類型 (南非幣)PineBridge Global Multi-Asset Fund N ZAR1.335.6313.6813.4935.6244.4448.5412.31 13.06 0.18  
復華全球平衡證券投資信託基金 (美元)Fuh Hwa Global Balanced Fund USD11.9126.4457.6839.9370.6474.163.1342.46 16.381.380.220.840.2
復華奧林匹克全球優勢組合證券投資信託基金 (美元)Fuh Hwa Olympic II Fund of Funds USD2.838.0216.1313.2538.0444.6742.5813.83 7.89 0.25  
復華全球戰略配置強證券投資信託基金 (美元)Fuh Hwa Global Strategic Alloctn Fund of Funds USD3.198.0919.3314.4539.9644.9838.6315.18 7.63 0.24  
富蘭克林華美多重資產收益證券投資信託基金 累積 (新台幣)Franklin Templeton SinoAm Mlt-Asst Inc Acc TWD4.029.4311.88.5336.7943.2854.916.38 8.07 0.38  
富蘭克林華美多重資產收益證券投資信託基金 分配 (新台幣)Franklin Templeton SinoAm Mlt-Asst Inc Div TWD4.069.4811.678.4836.7143.2854.816.41 8.11 0.37  
富蘭克林華美多重資產收益證券投資信託基金 累積 (美元)Franklin Templeton SinoAm Mlt-Asst Inc Acc USD3.076.4816.3513.0344.1650.0545.6613.36 7.99 0.28  
富蘭克林華美多重資產收益證券投資信託基金 分配 (美元)Franklin Templeton SinoAm Mlt-Asst Inc Div USD3.086.4216.2813.0344.0250.0845.6613.4 7.97 0.28  
富蘭克林華美多重資產收益證券投資信託基金 累積 (人民幣)Franklin Templeton SinoAm Mlt-Asst Inc Acc CNY3.015.181412.984045.8355.0410.11 7.93 0.39  
富蘭克林華美多重資產收益證券投資信託基金 分配 (人民幣)Franklin Templeton SinoAm Mlt-Asst Inc Div CNY3.15.2514.0613.0439.9445.8554.910.07 7.87 0.39  
富蘭克林華美多重資產收益證券投資信託基金 累積 (南非幣)Franklin Templeton SinoAm Mlt-Asst Inc Acc ZAR3.481.38.3710.9433.9741.6155.264.3 8.62 0.1  
富蘭克林華美多重資產收益證券投資信託基金 分配 (南非幣)Franklin Templeton SinoAm Mlt-Asst Inc Div ZAR3.491.378.4710.9834.0441.8255.344.36 8.6 0.1  
野村多元收益多重資產證券投資信託基金 累積 (新臺幣)Nomura Multi Inc Multi-Asset Acc TWD1.826.548.44.8327.3528.8634.453.72 9.06 0.22  
野村多元收益多重資產證券投資信託基金 月配 (新臺幣)Nomura Multi Inc Multi-Asset Div pay-Monthly TWD1.836.578.384.8227.3228.8634.573.68 9.06 0.22  
野村多元收益多重資產證券投資信託基金 累積 (美元)Nomura Multi Inc Multi-Asset Acc USD1.164.4912.299.1435.5139.832.569.61 9.03 0.19  
野村多元收益多重資產證券投資信託基金 月配 (美元)Nomura Multi Inc Multi-Asset Div pay-Monthly USD1.164.4812.289.1335.5139.8132.589.6 9.03 0.19  
野村多元收益多重資產證券投資信託基金 累積 (人民幣)Nomura Multi Inc Multi-Asset Acc CNY1.023.6410.46.8529.2530.7729.117.04 9.58 0.22  
野村多元收益多重資產證券投資信託基金 月配 (人民幣)Nomura Multi Inc Multi-Asset Div pay-Monthly CNY1.023.6510.436.8529.2830.7929.027.09 9.6 0.22  
台新全球多元資產組合證券投資信託基金 A類型 新臺幣Taishin Global Multi-Asset Fund of Funds A TWD3.199.411.618.0531.7435.0939.775.82 7.93 0.31  
台新全球多元資產組合證券投資信託基金 B類型 新臺幣Taishin Global Multi-Asset Fund of Funds B TWD3.239.4611.618.0531.7335.2239.715.84 7.92 0.31  
台新全球多元資產組合證券投資信託基金 A類型 美元Taishin Global Multi-Asset Fund of Funds A USD2.286.4816.2312.638.9841.6331.5312.82 7.94 0.22  
台新全球多元資產組合證券投資信託基金 B類型 美元Taishin Global Multi-Asset Fund of Funds B USD2.286.4816.2112.638.8941.5531.4112.81 7.94 0.22  
PGIM保德信多元收益組合證券投資信託基金 累積型 新臺幣PGIM Multi-Income FoF A TWD2.718.69.585.724.128.0528.854.65 7.17 0.27  
PGIM保德信多元收益組合證券投資信託基金 月配息型 新臺幣PGIM Multi-Income FoF B TWD2.718.69.595.7124.128.0528.824.66 7.17 0.27  
PGIM保德信多元收益組合證券投資信託基金 累積型 美元PGIM Multi-Income FoF C USD2.056.4113.9210.2931.8336.7226.6211.16 7.4 0.19  
PGIM保德信多元收益組合證券投資信託基金 月配息型 美元PGIM Multi-Income FoF D USD2.056.4113.9110.2831.836.6826.5911.15 7.4 0.19  
元大新東協平衡證券投資信託基金 (新台幣)Yuanta New ASEAN Balanced Fund TWD3.029.548.619.6627.9124.3336.817.24 7.56 0.22  
元大新東協平衡證券投資信託基金 (美元)Yuanta New ASEAN Balanced Fund USD2.056.5113.0914.1634.8530.228.5814.27 7.99 0.14  
富蘭克林華美亞太平衡證券投資信託基金 累積 (新台幣)Franklin Templeton SinoAm As-Pac Blncd Acc TWD5.5913.5122.1721.7450.3955.5415.0520.34 8.32 0.46  
富蘭克林華美亞太平衡證券投資信託基金 分配 (新台幣)Franklin Templeton SinoAm As-Pac Blncd Div TWD5.613.4122.1421.7550.3555.6514.9320.35 8.31 0.46  
富蘭克林華美亞太平衡證券投資信託基金 累積 (美元)Franklin Templeton SinoAm As-Pac Blncd Acc USD4.961226.9226.9258.964.8110.2627.49 8.48 0.34  
富蘭克林華美亞太平衡證券投資信託基金 分配 (美元)Franklin Templeton SinoAm As-Pac Blncd Div USD4.961226.9826.8258.8764.8410.2327.46 8.5 0.34  
富蘭克林華美亞太平衡證券投資信託基金 分配 (人民幣)Franklin Templeton SinoAm As-Pac Blncd Div CNY4.811124.8423.149.8350.864.8424.31 10.05 0.35  
群益金選報酬平衡證券投資信託基金 A類型 (新臺幣)Capital Golden Choice Balance Fund A TWD3.549.4911.439.7333.6544.4436.327.22 6.63 0.47  
群益金選報酬平衡證券投資信託基金 B類型 (新臺幣)Capital Golden Choice Balance Fund B TWD3.549.4911.439.7333.6544.4436.327.22 6.63 0.47  
群益金選報酬平衡證券投資信託基金 A類型 (美元)Capital Golden Choice Balance Fund A USD2.716.8815.6814.1241.1652.3732.5113.8 6.8 0.36  
群益金選報酬平衡證券投資信託基金 B類型 (美元)Capital Golden Choice Balance Fund B USD2.716.8815.6814.1241.1652.3632.5113.8 6.79 0.36  
群益金選報酬平衡證券投資信託基金 A類型 (人民幣)Capital Golden Choice Balance Fund A CNY2.545.6513.3413.0934.0842.6134.3810.6 6.9 0.43  
群益金選報酬平衡證券投資信託基金 B類型 (人民幣)Capital Golden Choice Balance Fund B CNY2.545.6513.3413.0934.0842.6134.3810.6 6.9 0.43  
中國信託樂齡收益平衡證券投資信託基金 A類型 (新台幣)CTBC Global Silver Age Income Fund A TWD4.2510.49127.7831.5730.5747.765.08 8.78 0.24  
中國信託樂齡收益平衡證券投資信託基金 B類型 (新台幣)CTBC Global Silver Age Income Fund B TWD4.310.4812.077.7931.6230.6147.85.04 8.77 0.24  
中國信託樂齡收益平衡證券投資信託基金 A類型 (美元)CTBC Global Silver Age Income Fund A USD3.337.5516.6612.2838.7436.7738.311.99 8.7 0.19  
中國信託樂齡收益平衡證券投資信託基金 B類型 (美元)CTBC Global Silver Age Income Fund B USD3.337.5316.6512.2638.7436.7138.8812.06 8.71 0.18  
富邦歐亞絲路多重資產型證券投資信託基金 A類型 (新臺幣)Fubon Euro-Asia Silk Road Multi-Asset Fund A TWD11.4236.759.1732.0763.7475.7232.7541.6 21.86 0.23  
富邦歐亞絲路多重資產型證券投資信託基金 B類型 (新臺幣)Fubon Euro-Asia Silk Road Multi-Asset Fund B TWD11.4236.759.1832.0763.7475.7332.7641.6 21.86 0.23  
富邦歐亞絲路多重資產型證券投資信託基金 A類型 (美元)Fubon Euro-Asia Silk Road Multi-Asset Fund A USD10.6233.8463.2135.2469.2180.7628.9447.53 21.55 0.19  
富邦歐亞絲路多重資產型證券投資信託基金 B類型 (美元)Fubon Euro-Asia Silk Road Multi-Asset Fund B USD10.6233.8463.2135.2469.280.7528.9447.53 21.55 0.19  
富邦歐亞絲路多重資產型證券投資信託基金 A類型 (人民幣)Fubon Euro-Asia Silk Road Multi-Asset Fund A CNY10.0530.0663.8739.7669.4980.5125.6148.68 20.95 0.25  
富邦歐亞絲路多重資產型證券投資信託基金 B類型 (人民幣)Fubon Euro-Asia Silk Road Multi-Asset Fund B CNY10.0530.0663.8739.7769.4980.5125.6248.68 20.95 0.25  
貝萊德全方位資產收益組合證券投資信託基金 累積 (新台幣)BlackRock Global Multi-Asset Income FOF TWD Acc1.365.924.514.5123.5128.6939.762.54 6.62 0.3  
貝萊德全方位資產收益組合證券投資信託基金 月配 (新台幣)BlackRock Global Multi-Asset Income FOF TWD Dis1.325.854.524.5223.4828.6739.842.51 6.64 0.3  
貝萊德全方位資產收益組合證券投資信託基金 累積 (美元)BlackRock Global Multi-Asset Income FOF USD Acc0.433.018.838.8330.2134.8431.439.34 6.7 0.23  
貝萊德全方位資產收益組合證券投資信託基金 月配 (美元)BlackRock Global Multi-Asset Income FOF USD Dis0.363.028.788.7830.0934.7131.449.22 6.66 0.23  
貝萊德全方位資產收益組合證券投資信託基金 月配 (人民幣)BlackRock Global Multi-Asset Income FOF RMB Dis0.271.726.598.5526.3830.9539.876.02 6.83 0.36  
野村動態配置多重資產證券投資信託基金 S (新臺幣)Nomura Global Dynamically Multi-Asset Fund S TWD2.978.5611.763.5832.6333.3130.322.82 11.79 0.2  
野村多元收益多重資產證券投資信託基金 S (新臺幣)Nomura Multi Inc Multi-Asset S TWD1.96.778.735.529.0531.5114.74.23 9.07 0.24  
統一全球動態多重資產證券投資信託基金 累積型 (新台幣)UPAMC DynaStrategy Global Multi-Asset Fd-Acc (TWD)11.9122.4446.2426.474.2186.6970.0223.61 16.22 0.35  
統一全球動態多重資產證券投資信託基金 月配型 (新台幣)UPAMC DynaStrategy Global Multi-Asset Fd-MD (TWD)11.9122.4446.2426.474.2186.6970.0223.61 16.22 0.35  
統一全球動態多重資產證券投資信託基金 累積型 (人民幣)UPAMC DynaStrategy Global Multi-Asset Fd-Acc (CNY)10.7317.7249.1631.3878.290.1369.8327.99 16.2 0.33  
統一全球動態多重資產證券投資信託基金 月配型 (人民幣)UPAMC DynaStrategy Global Multi-Asset Fd-MD (CNY)10.7417.7349.1731.3978.2290.1569.8528 16.2 0.33  
統一全球動態多重資產證券投資信託基金 累積型 (美元)UPAMC DynaStrategy Global Multi-Asset Fd-Acc (USD)10.8919.1252.2731.6783.6895.5659.9431.78 16.19 0.3  
統一全球動態多重資產證券投資信託基金 月配型 (美元)UPAMC DynaStrategy Global Multi-Asset Fd-MD (USD)10.8919.1252.2731.6683.6695.5459.9231.78 16.19 0.3  
摩根中國雙息平衡證券投資信託基金 月配息 美元JPMorgan (Taiwan) China Income Fund Dist USD0.349.6218.9416.5235.841.714.2117.77 13.51 0.15  
復華奧林匹克全球優勢組合證券投資信託基金 B類型 (新臺幣)Fuh Hwa Olympic II Fund of Funds B TWD3.6210.710.998.2930.6938.0544.846.27 8.02 0.33  
聯博收益傘型證券投資信託基金之聯博多元資產收益組合基金 AI類型 (新台幣)ABITL Multi-Asset Income Fund of Funds AI TWD1.716.339.597.8227.6333.9239.597.22 6.95 0.34  
聯博收益傘型證券投資信託基金之聯博多元資產收益組合基金 AI類型 (美元)ABITL Multi-Asset Income Fund of Funds AI USD1.295.5513.412.053644.1540.5812.91 7.45 0.26  
聯博收益傘型證券投資信託基金之聯博多元資產收益組合基金 AI類型 (人民幣)ABITL Multi-Asset Income Fund of Funds AI CNY1.134.7511.69.0328.5232.2833.0810.17 9.19 0.27  
聯博收益傘型證券投資信託基金之聯博多元資產收益組合基金 AI類型 (澳幣)ABITL Multi-Asset Income Fund of Funds AI AUD1.335.361310.7232.3537.4130.611.68 12.97 0.22  
聯博收益傘型證券投資信託基金之聯博多元資產收益組合基金 AI類型 (南非幣)ABITL Multi-Asset Income Fund of Funds AI ZAR1.566.1514.7614.2342.1653.9761.6214.52 15.26 0.23  
群益環球金綻雙喜證券投資信託基金 NA類型 (新臺幣)Capital Global Abundant Income fund of Fund NA TWD2.429.0810.565.9426.9225.38 3.92 7.33 0.24  
群益環球金綻雙喜證券投資信託基金 NB類型 (新臺幣)Capital Global Abundant Income fund of Fund NB TWD2.359.1410.665.992725.5224 7.32 0.24  
群益環球金綻雙喜證券投資信託基金 NA類型 (美元)Capital Global Abundant Income fund of Fund NA USD1.436.2514.449.8433.4934.0919.899.92 7.51 0.18  
群益環球金綻雙喜證券投資信託基金 NB類型 (美元)Capital Global Abundant Income fund of Fund NB USD1.436.2514.449.8433.4934.0919.899.92 7.51 0.18  
群益環球金綻雙喜證券投資信託基金 NA類型 (澳幣)Capital Global Abundant Income fund of Fund NA AUD1.495.8613.668.5930.4529.33 8.14 11.66 0.17  
群益環球金綻雙喜證券投資信託基金 NB類型 (澳幣)Capital Global Abundant Income fund of Fund NB AUD1.495.8613.678.5930.4529.33 8.14 11.66 0.17  
群益環球金綻雙喜證券投資信託基金 NA類型 (南非幣)Capital Global Abundant Income fund of Fund NA ZAR1.646.2314.2610.5137.1842.76 9.37 13.95 0.15  
群益環球金綻雙喜證券投資信託基金 NB類型 (南非幣)Capital Global Abundant Income fund of Fund NB ZAR1.646.2314.2610.5137.1842.78 9.37 13.95 0.16  
群益金選報酬平衡證券投資信託基金 NA類型 (新臺幣)Capital Golden Choice Balance Fund NA TWD3.549.4911.439.7333.6544.4436.327.22 6.63 0.47  
群益金選報酬平衡證券投資信託基金 NB類型 (新臺幣)Capital Golden Choice Balance Fund NB TWD3.549.4911.439.7433.6644.4636.347.22 6.63 0.47  
群益金選報酬平衡證券投資信託基金 NB類型 (美元)Capital Golden Choice Balance Fund NB USD2.716.8815.6914.1441.1852.3932.5313.8 6.79 0.36  
群益金選報酬平衡證券投資信託基金 NB類型 (人民幣)Capital Golden Choice Balance Fund NB CNY2.545.6513.3413.0934.0842.6134.3810.6 6.9 0.43  
柏瑞多重資產特別收益證券投資信託基金 A類型 (新臺幣)PineBridge Multi-Income Fund A TWD0.513.131.91.0810.3715.7314.590.31 4.61 0.21  
柏瑞多重資產特別收益證券投資信託基金 B類型 (新臺幣)PineBridge Multi-Income Fund B TWD0.513.131.921.0910.3515.7114.570.32 4.61 0.21  
柏瑞多重資產特別收益證券投資信託基金 N類型 (新臺幣)PineBridge Multi-Income Fund N TWD0.513.131.921.0910.3515.7114.570.32 4.61 0.21  
柏瑞多重資產特別收益證券投資信託基金 N9類型 (新臺幣)PineBridge Multi-Income Fund N9 TWD0.513.131.91.0810.3715.7314.60.31 4.61 0.21  
柏瑞多重資產特別收益證券投資信託基金 A類型 (美元)PineBridge Multi-Income Fund A USD0.021.774.954.4716.6522.6915.535.14 6.37 0.13  
柏瑞多重資產特別收益證券投資信託基金 B類型 (美元)PineBridge Multi-Income Fund B USD0.021.774.994.4816.6422.6815.55.16 6.36 0.13  
柏瑞多重資產特別收益證券投資信託基金 N類型 (美元)PineBridge Multi-Income Fund N USD0.021.774.984.4916.6422.6815.515.16 6.36 0.13  
柏瑞多重資產特別收益證券投資信託基金 N9類型 (美元)PineBridge Multi-Income Fund N9 USD0.021.784.954.4716.6522.715.535.14 6.37 0.13  
柏瑞多重資產特別收益證券投資信託基金 A類型 (人民幣)PineBridge Multi-Income Fund A CNY-0.150.923.32.4611.2814.6211.82.9 6.87 0.2  
柏瑞多重資產特別收益證券投資信託基金 B類型 (人民幣)PineBridge Multi-Income Fund B CNY-0.150.923.332.4911.3114.6311.822.93 6.86 0.2  
柏瑞多重資產特別收益證券投資信託基金 N類型 (人民幣)PineBridge Multi-Income Fund N CNY-0.150.923.332.4911.3114.6311.822.93 6.86 0.2  
柏瑞多重資產特別收益證券投資信託基金 N9類型 (人民幣)PineBridge Multi-Income Fund N9 CNY-0.150.923.32.4611.314.6311.832.9 6.87 0.2  
柏瑞多重資產特別收益證券投資信託基金 A類型 (澳幣)PineBridge Multi-Income Fund A AUD0.171.44.234.415.0720.0812.613.94 9.22 0.14  
柏瑞多重資產特別收益證券投資信託基金 B類型 (澳幣)PineBridge Multi-Income Fund B AUD0.161.44.254.4315.0920.0712.623.98 9.21 0.14  
柏瑞多重資產特別收益證券投資信託基金 N類型 (澳幣)PineBridge Multi-Income Fund N AUD0.161.44.254.4315.0920.0712.623.98 9.21 0.14  
柏瑞多重資產特別收益證券投資信託基金 N9類型 (澳幣)PineBridge Multi-Income Fund N9 AUD0.171.44.234.415.0720.0812.613.94 9.22 0.14  
安聯收益成長多重資產證券投資信託基金-A類型-新臺幣Allianz Global Investors Income and Growth A TWD2.075.319.086.822.9823.19215.15 7.96 0.2  
安聯收益成長多重資產證券投資信託基金-B類型-新臺幣Allianz Global Investors Income and Growth B TWD2.065.289.176.8622.9923.1921.035.11 7.94 0.2  
安聯收益成長多重資產證券投資信託基金-A類型-人民幣Allianz Global Investors Income and Growth A CNY1.713.6110.798.9127.1428.2231.888.2 8.48 0.24  
安聯收益成長多重資產證券投資信託基金-B類型-人民幣Allianz Global Investors Income and Growth B CNY1.663.5610.78.8727.0928.2431.878.21 8.49 0.24  
野村鑫平衡組合證券投資信託基金 SNomura Global Balanced Portfolio S3.8911.413.28.6632.7834.3754.367.07 8.93 0.27  
永豐全球多元入息證券投資信託基金-新臺幣累積類型SinoPac Global Multi Income Fund Acc TWD2.588.1112.528.8129.5927.2925.938.22 7.28 0.26  
永豐全球多元入息證券投資信託基金-新臺幣月配類型SinoPac Global Multi Income Fund Dist TWD2.588.1112.528.8129.5927.325.938.23 7.28 0.26  
永豐全球多元入息證券投資信託基金-美元累積類型SinoPac Global Multi Income Fund Acc USD2.327.2915.1512.2138.0136.2526.8712.34 8.26 0.19  
永豐全球多元入息證券投資信託基金-美元月配類型SinoPac Global Multi Income Fund Dist USD2.327.2915.1612.2637.9536.2126.7412.36 8.25 0.19  
富達全球多重資產收益組合證券投資信託基金A股累積型新臺幣計價級別Fidelity Mlt Asst Inc Fd of Fds A-ACC-TWD1.15.6986.5718.7222.1915.518.4 6.21 0.24  
富達全球多重資產收益組合證券投資信託基金A股月配息型新臺幣計價級別Fidelity Mlt Asst Inc Fd of Fd A-MCDIST-TWD1.095.78.066.619.3620.738.748.52 7.1 0.19  
富達全球多重資產收益組合證券投資信託基金A股累積型美元計價級別Fidelity Mlt Asst Inc Fd of Fds A-ACC-USD0.694.6411.1310.5126.4432.1915.0413.42 6.65 0.18  
富達全球多重資產收益組合證券投資信託基金A股月配息型美元計價級別Fidelity Mlt Asst Inc Fd of Fds A-MCDIST-USD0.694.6411.1310.5126.4432.1918.513.42 6.65 0.18  
富達全球多重資產收益組合證券投資信託基金A股累積型人民幣計價避險級別Fidelity Mlt Asst Inc Fd of Fds A-ACC-RMB(RMB H)0.483.879.437.7419.7822.314.1310.87 8.43 0.21  
富達全球多重資產收益組合證券投資信託基金A股月配息型人民幣計價避險級別Fidelity Mlt Asst Inc Fd of Fd A-MCDIST-RMB(RMB H)0.483.879.477.7419.7722.5214.3610.88 8.24 0.22  
瀚亞多重收益優化組合證券投資信託基金A-新臺幣Eastspring Investments Optimal Inc Fd of Fds A TWD2.136.997.966.2825.4830.8539.754.13 6.29 0.34  
瀚亞多重收益優化組合證券投資信託基金B-新臺幣Eastspring Investments Optimal Inc Fd of Fds B TWD2.036.927.876.3125.4630.7439.524.12 6.29 0.34  
瀚亞多重收益優化組合證券投資信託基金S-新臺幣Eastspring Investments Optimal Inc Fd of Fds S TWD2.027.027.876.2425.4830.7639.554.08 6.31 0.34  
瀚亞多重收益優化組合證券投資信託基金A-美元Eastspring Investments Optimal Inc Fd of Fds A USD1.42512.811.2132.9638.9131.6111.39 6.49 0.24  
瀚亞多重收益優化組合證券投資信託基金B-美元Eastspring Investments Optimal Inc Fd of Fds B USD1.454.9812.7311.2933.0838.8431.6711.3 6.52 0.24  
瀚亞多重收益優化組合證券投資信託基金S-美元Eastspring Investments Optimal Inc Fd of Fds S USD1.334.9812.7211.1532.938.8331.5311.3 6.5 0.24  
瀚亞多重收益優化組合證券投資信託基金A-澳幣Eastspring Investments Optimal Inc Fd of Fds A AUD1.784.2911.6611.3830.1634.8430.819.06 8.98 0.3  
瀚亞多重收益優化組合證券投資信託基金B-澳幣Eastspring Investments Optimal Inc Fd of Fds B AUD1.784.2711.6711.4230.4735.1430.218.95 8.92 0.3  
瀚亞多重收益優化組合證券投資信託基金S-澳幣Eastspring Investments Optimal Inc Fd of Fds S AUD1.834.3211.6811.4830.3334.8329.879 9.02 0.29  
瀚亞多重收益優化組合證券投資信託基金B-紐幣Eastspring Investments Optimal Inc Fd of Fds B NZD1.745.613.1612.6432.6837.1336.229.47 8.71 0.29  
瀚亞多重收益優化組合證券投資信託基金A-南非幣Eastspring Investments Optimal Inc Fd of Fds A ZAR1.694.7812.7111.9334.845.0446.359.96 12.73 0.2  
瀚亞多重收益優化組合證券投資信託基金B-南非幣Eastspring Investments Optimal Inc Fd of Fds B ZAR1.814.8512.7212.0834.4344.6545.5410.01 12.65 0.19  
瀚亞多重收益優化組合證券投資信託基金S-南非幣Eastspring Investments Optimal Inc Fd of Fds S ZAR1.664.6912.7111.8634.7344.89 9.87 12.68 0.2  
瀚亞多重收益優化組合證券投資信託基金A-人民幣Eastspring Investments Optimal Inc Fd of Fds A CNY1.283.8610.810.252832.4131.898.56 6.73 0.35  
瀚亞多重收益優化組合證券投資信託基金B-人民幣Eastspring Investments Optimal Inc Fd of Fds B CNY1.373.8410.7810.2428.1332.632.238.66 6.7 0.35  
瀚亞多重收益優化組合證券投資信託基金S-人民幣Eastspring Investments Optimal Inc Fd of Fds S CNY1.253.8510.8110.2728.0232.4932.098.55 6.75 0.35  
路博邁收益成長多重資產證券投資信託基金T累積(新臺幣)NB Bd-Plus Inc&Gr Mlt-Asst Cls Sec TWD T Acc2.569.1213.389.6321.8324.713.719.12 6.61 0.25  
路博邁收益成長多重資產證券投資信託基金N累積(新臺幣)NB Bd-Plus Inc&Gr Mlt-Asst Cls Sec TWD N Acc2.659.2113.489.7321.9324.8113.819.21 6.64 0.25  
路博邁收益成長多重資產證券投資信託基金T月配(新臺幣)NB Bd-Plus Inc&Gr Mlt-Asst Cls Sec TWD T (Monthly)2.749.1713.499.8321.9624.8413.799.2 6.64 0.25  
路博邁收益成長多重資產證券投資信託基金N月配(新臺幣)NB Bd-Plus Inc&Gr Mlt-Asst Cls Sec TWD N (Monthly)2.589.1813.59.6621.9524.6413.769.2 6.65 0.25  
路博邁收益成長多重資產證券投資信託基金T累積(美元)NB Bd-Plus Inc&Gr Mlt-Asst Cls Sec USD T Acc27.0417.1414.4130.5435.6718.5515.14 6.97 0.21  
路博邁收益成長多重資產證券投資信託基金N累積(美元)NB Bd-Plus Inc&Gr Mlt-Asst Cls Sec USD N Acc1.927.0517.0614.2330.3435.4618.3714.95 6.99 0.21  
路博邁收益成長多重資產證券投資信託基金T月配(美元)NB Bd-Plus Inc&Gr Mlt-Asst Cls Sec USD T (Monthly)1.957.0816.9714.2630.4535.5718.4815 6.98 0.21  
路博邁收益成長多重資產證券投資信託基金N月配(美元)NB Bd-Plus Inc&Gr Mlt-Asst Cls Sec USD N (Monthly)2.117.2617.1714.2730.4635.5818.515.01 6.98 0.21  
路博邁收益成長多重資產證券投資信託基金T累積(人民幣)NB Bd-Plus Inc&Gr Mlt-Asst Cls Sec CNY T Acc1.826.4115.2911.2223.7724.912.8612.65 8.65 0.23  
路博邁收益成長多重資產證券投資信託基金N累積(人民幣)NB Bd-Plus Inc&Gr Mlt-Asst Cls Sec CNY N Acc1.826.4115.411.2223.7724.912.9612.75 8.67 0.23  
路博邁收益成長多重資產證券投資信託基金T月配(人民幣)NB Bd-Plus Inc&Gr Mlt-Asst Cls Sec CNY T (Monthly)1.766.3515.4111.1923.6224.9112.912.59 8.6 0.23  
路博邁收益成長多重資產證券投資信託基金N月配(人民幣)NB Bd-Plus Inc&Gr Mlt-Asst Cls Sec CNY N (Monthly)1.766.3515.4211.3823.8324.9212.9112.79 8.72 0.23  
路博邁收益成長多重資產證券投資信託基金T累積(澳幣)NB Bd-Plus Inc&Gr Mlt-Asst Cls Sec AUD T Acc1.856.8515.9612.1426.3728.7610.2113.24 12.06 0.17  
路博邁收益成長多重資產證券投資信託基金N累積(澳幣)NB Bd-Plus Inc&Gr Mlt-Asst Cls Sec AUD N Acc1.946.8515.9612.1426.3728.7610.3213.24 12.02 0.17  
路博邁收益成長多重資產證券投資信託基金T月配(澳幣)NB Bd-Plus Inc&Gr Mlt-Asst Cls Sec AUD T (Monthly)1.956.8216.1512.1326.3428.8510.3813.34 12.02 0.17  
路博邁收益成長多重資產證券投資信託基金N月配(澳幣)NB Bd-Plus Inc&Gr Mlt-Asst Cls Sec AUD N (Monthly)1.956.8216.1512.3326.3428.8510.3913.34 12.03 0.17  
路博邁收益成長多重資產證券投資信託基金T累積(南非幣)NB Bd-Plus Inc&Gr Mlt-Asst Cls Sec ZAR T Acc2.267.8317.9616.4836.4745.536.9416.83 14.93 0.19  
路博邁收益成長多重資產證券投資信託基金N累積(南非幣)NB Bd-Plus Inc&Gr Mlt-Asst Cls Sec ZAR N Acc2.267.8317.9616.4836.4745.536.9416.83 14.95 0.19  
路博邁收益成長多重資產證券投資信託基金T月配(南非幣)NB Bd-Plus Inc&Gr Mlt-Asst Cls Sec ZAR T (Monthly)2.287.8817.916.5236.6245.5836.9316.83 14.94 0.19  
路博邁收益成長多重資產證券投資信託基金N月配(南非幣)NB Bd-Plus Inc&Gr Mlt-Asst Cls Sec ZAR N (Monthly)2.287.8817.9116.5336.6345.5936.9516.83 14.92 0.19  
安聯收益成長多重資產證券投資信託基金-N類型-新臺幣Allianz Global Investors Income and Growth N TWD2.155.319.196.9123.0323.1521.085.16 7.97 0.2  
安聯收益成長多重資產證券投資信託基金-N類型-人民幣Allianz Global Investors Income and Growth N CNY1.733.6710.82927.1828.2531.948.25 8.5 0.24  
聯博多重資產傘型證券投資信託基金之聯博歐洲多重資產證券投資信託基金 AI 類型 (新台幣)ABITL European Multi-Asset Fund AI TWD-0.235.148.2814.329.7239.9946.7716.46 9.12 0.31  
聯博多重資產傘型證券投資信託基金之聯博歐洲多重資產證券投資信託基金 AI 類型 (美元)ABITL European Multi-Asset Fund AI USD0.293.4311.7815.8734.9543.6959.4216.36 7.81 0.24  
柏瑞多重資產特別收益證券投資信託基金 B類型(南非幣)PineBridge Multi-Income Fund B ZAR0.251.624.97.0620.5531.2834.056.06 11.45 0.09  
柏瑞多重資產特別收益證券投資信託基金 N類型(南非幣)PineBridge Multi-Income Fund N ZAR0.251.624.97.0520.5531.2834.16.05 11.45 0.09  
群益多元收益傘型證券投資信託基金之群益潛力收益多重資產證券投資信託基金 A類型 (新臺幣)Capital Potential Income Multi-Asset Fund A TWD2.378.179.375.8533.0937.6440.223.34 8.67 0.3  
群益多元收益傘型證券投資信託基金之群益潛力收益多重資產證券投資信託基金 B類型 (新臺幣)Capital Potential Income Multi-Asset Fund B TWD2.378.179.375.8633.137.6540.223.34 8.67 0.3  
群益多元收益傘型證券投資信託基金之群益潛力收益多重資產證券投資信託基金 NA類型 (新臺幣)Capital Potential Income Multi-Asset Fund NA TWD2.378.179.365.8533.137.6540.233.34 8.67 0.3  
群益多元收益傘型證券投資信託基金之群益潛力收益多重資產證券投資信託基金 NB類型 (新臺幣)Capital Potential Income Multi-Asset Fund NB TWD2.378.169.365.8533.137.6540.223.34 8.67 0.3  
群益多元收益傘型證券投資信託基金之群益潛力收益多重資產證券投資信託基金 A類型 (美元)Capital Potential Income Multi-Asset Fund A USD1.445.2313.8710.2740.3544.2232.1410.17 8.66 0.24  
群益多元收益傘型證券投資信託基金之群益潛力收益多重資產證券投資信託基金 B類型 (美元)Capital Potential Income Multi-Asset Fund B USD1.445.2313.8710.2740.3344.1932.1210.17 8.66 0.24  
群益多元收益傘型證券投資信託基金之群益潛力收益多重資產證券投資信託基金 NA類型 (美元)Capital Potential Income Multi-Asset Fund NA USD1.445.2313.8710.2740.3344.1932.1210.17 8.66 0.24  
群益多元收益傘型證券投資信託基金之群益潛力收益多重資產證券投資信託基金 NB類型 (美元)Capital Potential Income Multi-Asset Fund NB USD1.445.2413.8710.2740.3344.1932.1110.17 8.66 0.24  
群益多元收益傘型證券投資信託基金之群益潛力收益多重資產證券投資信託基金 A類型 (人民幣)Capital Potential Income Multi-Asset Fund A CNY1.274.0211.569.9336.1940.3640.297.1 8.59 0.31  
群益多元收益傘型證券投資信託基金之群益潛力收益多重資產證券投資信託基金 B類型 (人民幣)Capital Potential Income Multi-Asset Fund B CNY1.274.0211.569.9336.1940.3640.297.1 8.59 0.31  
群益多元收益傘型證券投資信託基金之群益潛力收益多重資產證券投資信託基金 NA類型 (人民幣)Capital Potential Income Multi-Asset Fund NA CNY1.274.0211.569.9336.1940.3640.297.09 8.59 0.31  
群益多元收益傘型證券投資信託基金之群益潛力收益多重資產證券投資信託基金 NB類型 (人民幣)Capital Potential Income Multi-Asset Fund NB CNY1.274.0311.569.9336.1940.3640.297.1 8.59 0.31  
富邦AI智能新趨勢多重資產型證券投資信託基金 A (新臺幣)Fubon AI New Trends Multi-Asset Fund A TWD16.6230.6460.9937.92124.8175.38184.4134.56 23.12 0.41  
富邦AI智能新趨勢多重資產型證券投資信託基金 A (美元)Fubon AI New Trends Multi-Asset Fund A USD15.5527.167.6343.67137.01188.46167.5343.45 23.18 0.36  
富邦AI智能新趨勢多重資產型證券投資信託基金 A (人民幣)Fubon AI New Trends Multi-Asset Fund A CNY15.4625.5764.2343.61129.94180.05184.5739.24 22.99 0.39  
富邦AI智能新趨勢多重資產型證券投資信託基金 N (新臺幣)Fubon AI New Trends Multi-Asset Fund N TWD16.6230.6460.9937.92124.8175.37184.4134.56 23.12 0.41  
富邦AI智能新趨勢多重資產型證券投資信託基金 N (美元)Fubon AI New Trends Multi-Asset Fund N USD15.5527.167.6343.67137.01188.46167.5443.45 23.18 0.36  
富邦AI智能新趨勢多重資產型證券投資信託基金 N (人民幣)Fubon AI New Trends Multi-Asset Fund N CNY15.4625.5764.2343.61129.94180.06184.5639.24 22.99 0.39  
安聯四季雙收入息組合證券投資信託基金 P類型 (新臺幣)Allianz Global Investors All Ssn Dbl Inc FoF P TWD3.2210.5412.249.2632.141.9157.356.64 7.71 0.38  
凱基臺灣多元收益多重資產證券投資信託基金 AKGI Taiwan Multi-Asset Income Fund A0.834.689.365.519.4832.4532.196.42 5.15 0.44  
凱基收益成長多重資產證券投資信託基金 A 不配息 (新臺幣)KGI Global Multi-Asset Income Fund A TWD2.248.113.6811.0839.0638.6151.168.03 7.82 0.35  
凱基收益成長多重資產證券投資信託基金 B 月配 (新臺幣)KGI Global Multi-Asset Income Fund B TWD2.248.113.6811.139.0838.6451.148.05 7.82 0.35  
凱基收益成長多重資產證券投資信託基金 NA 不配息 (新臺幣)KGI Global Multi-Asset Income Fund NA TWD2.248.113.6811.0839.0638.650.378.03 7.82 0.35  
凱基收益成長多重資產證券投資信託基金 NB 月配 (新臺幣)KGI Global Multi-Asset Income Fund NB TWD2.248.113.6811.139.0238.5950.88.05 7.81 0.35  
凱基收益成長多重資產證券投資信託基金 A 不配息 (美元)KGI Global Multi-Asset Income Fund A USD1.856.8317.5715.6249.2151.2161.313.74 8.15 0.3  
凱基收益成長多重資產證券投資信託基金 B 月配 (美元)KGI Global Multi-Asset Income Fund B USD1.786.7717.5415.6149.1951.1761.8313.72 8.14 0.3  
凱基收益成長多重資產證券投資信託基金 NA 不配息 (美元)KGI Global Multi-Asset Income Fund NA USD1.856.8317.5715.6249.2251.2161.313.74 8.15 0.3  
凱基收益成長多重資產證券投資信託基金 NB 月配 (美元)KGI Global Multi-Asset Income Fund NB USD1.816.817.5715.6449.2851.2661.8413.75 8.15 0.3  
凱基收益成長多重資產證券投資信託基金 A 不配息 (人民幣)KGI Global Multi-Asset Income Fund A CNY1.75.7215.4614.3843.443.7665.3510.84 8.19 0.37  
凱基收益成長多重資產證券投資信託基金 B 月配 (人民幣)KGI Global Multi-Asset Income Fund B CNY1.715.7215.4514.443.4143.8865.2510.85 8.18 0.37  
凱基收益成長多重資產證券投資信託基金 NA 不配息 (人民幣)KGI Global Multi-Asset Income Fund NA CNY1.75.7215.4614.3943.4543.8163.3110.84 8.19 0.37  
凱基收益成長多重資產證券投資信託基金 NB 月配 (人民幣)KGI Global Multi-Asset Income Fund NB CNY1.715.7215.4514.443.4143.7663.6210.85 8.18 0.37  
凱基收益成長多重資產證券投資信託基金 B 月配 (南非幣)KGI Global Multi-Asset Income Fund B ZAR2.074.8514.6916.8849.1154.9489.8211 11.76 0.24  
凱基收益成長多重資產證券投資信託基金 NB 月配 (南非幣)KGI Global Multi-Asset Income Fund NB ZAR2.074.8514.716.8849.1154.9486.9211 11.76 0.24  
鋒裕匯理實質收息多重資產證券投資信託基金 A2 新臺幣Amundi TW - Real Asset Target Income A2 TWD (C)1.6210.276.814.215.1714.5138.936.52 9.41 0.09  
鋒裕匯理實質收息多重資產證券投資信託基金 AD 新臺幣Amundi TW - Real Asset Target Income AD TWD (D)1.6510.36.864.2815.2214.5339.076.53 9.43 0.09  
鋒裕匯理實質收息多重資產證券投資信託基金 N2 新臺幣Amundi TW - Real Asset Target Income N2 TWD (C)1.7110.366.94.2815.2714.639.046.61 9.39 0.09  
鋒裕匯理實質收息多重資產證券投資信託基金 ND 新臺幣Amundi TW - Real Asset Target Income ND TWD (D)1.6510.36.864.2815.2214.5439.076.53 9.37 0.09  
鋒裕匯理實質收息多重資產證券投資信託基金 A2 美元Amundi TW - Real Asset Target Income A2 USD (C)0.777.3611.38.6421.482030.913.65 9.44 0.04  
鋒裕匯理實質收息多重資產證券投資信託基金 AD 美元Amundi TW - Real Asset Target Income AD USD (D)0.677.2811.278.5921.4619.8730.8313.51 9.41 0.04  
鋒裕匯理實質收息多重資產證券投資信託基金 N2 美元Amundi TW - Real Asset Target Income N2 USD (C)0.777.3611.38.6421.482030.913.54 9.4 0.04  
鋒裕匯理實質收息多重資產證券投資信託基金 ND 美元Amundi TW - Real Asset Target Income ND USD (D)0.677.2811.278.5921.319.8730.8313.51 9.39 0.04  
鋒裕匯理實質收息多重資產證券投資信託基金 A2 人民幣Amundi TW - Real Asset Target Income A2 CNH (C)0.546.649.545.7314.459.7623.6311.06 11.79 0.05  
鋒裕匯理實質收息多重資產證券投資信託基金 AD 人民幣Amundi TW - Real Asset Target Income AD CNH (D)0.496.459.465.7314.489.7723.7311 11.8 0.05  
鋒裕匯理實質收息多重資產證券投資信託基金 N2 人民幣Amundi TW - Real Asset Target Income N2 CNH (C)0.546.559.455.6414.369.6723.4110.97 11.84 0.05  
鋒裕匯理實質收息多重資產證券投資信託基金 ND 人民幣Amundi TW - Real Asset Target Income ND CNH (D)0.366.489.495.614.349.7523.2711.03 11.85 0.05  
鋒裕匯理實質收息多重資產證券投資信託基金 A2 澳幣Amundi TW - Real Asset Target Income A2 AUD (C)0.767.1710.757.7218.1513.9620.7112.99 15.04 0.01  
鋒裕匯理實質收息多重資產證券投資信託基金 AD 澳幣Amundi TW - Real Asset Target Income AD AUD (D)0.77.0410.677.3617.8813.7320.7812.5 15.01 0.01  
鋒裕匯理實質收息多重資產證券投資信託基金 N2 澳幣Amundi TW - Real Asset Target Income N2 AUD (C)0.667.0310.587.3517.7913.652112.45 15.03 0.01  
鋒裕匯理實質收息多重資產證券投資信託基金 ND 澳幣Amundi TW - Real Asset Target Income ND AUD (D)0.77.0710.857.517.913.7120.7712.69 15.03 0.01  
鋒裕匯理實質收息多重資產證券投資信託基金 A2 南非幣Amundi TW - Real Asset Target Income A2 ZAR (C)1.028.0512.5811.5527.9528.6847.0816.21 17.2 0.02  
鋒裕匯理實質收息多重資產證券投資信託基金 AD 南非幣Amundi TW - Real Asset Target Income AD ZAR (D)0.827.7812.2710.8826.8527.9248.0315.5 17.33 0.02  
鋒裕匯理實質收息多重資產證券投資信託基金 N2 南非幣Amundi TW - Real Asset Target Income N2 ZAR (C)0.877.8312.221126.8528.0549.2215.49 17.34 0.02  
鋒裕匯理實質收息多重資產證券投資信託基金 ND 南非幣Amundi TW - Real Asset Target Income ND ZAR (D)0.927.9212.3710.8526.5727.9549.2115.48 17.3 0.02  
國泰美國收益傘型證券投資信託基金之美國多重收益平衡證券投資信託基金 A類型 (新臺幣)Cathay US Multi-Income Balanced Fund A TWD2.297.110.377.2528.2433.3639.115.54 7.04 0.33  
國泰美國收益傘型證券投資信託基金之美國多重收益平衡證券投資信託基金 B類型 (新臺幣)Cathay US Multi-Income Balanced Fund B TWD2.297.110.387.2528.2333.3639.095.54 7.03 0.33  
國泰美國收益傘型證券投資信託基金之美國多重收益平衡證券投資信託基金 NB類型 (新臺幣)Cathay US Multi-Income Balanced Fund NB TWD2.297.110.387.2528.2333.3639.095.54 7.04 0.33  
國泰美國收益傘型證券投資信託基金之美國多重收益平衡證券投資信託基金 A類型 (美元)Cathay US Multi-Income Balanced Fund A USD1.935.814.0411.536.4843.3843.311 7.53 0.26  
國泰美國收益傘型證券投資信託基金之美國多重收益平衡證券投資信託基金 B類型 (美元)Cathay US Multi-Income Balanced Fund B USD1.955.814.0111.4436.4543.3643.2810.96 7.54 0.26  
國泰美國收益傘型證券投資信託基金之美國多重收益平衡證券投資信託基金 NB類型 (美元)Cathay US Multi-Income Balanced Fund NB USD1.955.813.9911.4536.4343.3143.2710.97 7.53 0.26  
國泰美國收益傘型證券投資信託基金之美國多重收益平衡證券投資信託基金 B類型 (人民幣)Cathay US Multi-Income Balanced Fund B CNY1.794.7912.059.7730.2740.0852.368.26 7.45 0.38  
國泰美國收益傘型證券投資信託基金之美國多重收益平衡證券投資信託基金 B類型 (南非幣)Cathay US Multi-Income Balanced Fund B ZAR2.253.31010.832.7851.1166.436.73 8.78 0.17  
柏瑞新興動態多重資產證券投資信託基金 A類型 (新臺幣)PineBridge Em Mkts Dynamic Multi-Asset A TWD4.5614.2117.6716.1134.3344.9422.719.18 9.3 0.34  
柏瑞新興動態多重資產證券投資信託基金 B類型 (新臺幣)PineBridge Em Mkts Dynamic Multi-Asset B TWD4.5614.2117.6916.1434.3444.9422.6319.21 9.3 0.34  
柏瑞新興動態多重資產證券投資信託基金 N類型 (新臺幣)PineBridge Em Mkts Dynamic Multi-Asset N TWD4.5614.2117.6916.1434.3444.9222.6119.21 9.3 0.34  
柏瑞新興動態多重資產證券投資信託基金 A類型 (美元)PineBridge Em Mkts Dynamic Multi-Asset A USD3.8711.822.372141.9653.0618.4626.65 9.29 0.25  
柏瑞新興動態多重資產證券投資信託基金 B類型 (美元)PineBridge Em Mkts Dynamic Multi-Asset B USD3.8611.822.3921.0341.9653.0318.4126.68 9.29 0.25  
柏瑞新興動態多重資產證券投資信託基金 N類型 (美元)PineBridge Em Mkts Dynamic Multi-Asset N USD3.8611.822.421.0441.9753.0418.4126.69 9.29 0.25  
柏瑞新興動態多重資產證券投資信託基金 A類型 (人民幣)PineBridge Em Mkts Dynamic Multi-Asset A CNY3.6710.920.418.0334.7841.613.0723.57 11.29 0.27  
柏瑞新興動態多重資產證券投資信託基金 B類型 (人民幣)PineBridge Em Mkts Dynamic Multi-Asset B CNY3.6710.920.4318.0734.8141.5813.0223.61 11.29 0.27  
柏瑞新興動態多重資產證券投資信託基金 N類型 (人民幣)PineBridge Em Mkts Dynamic Multi-Asset N CNY3.6710.920.4318.0734.8141.5813.0223.61 11.29 0.27  
柏瑞新興動態多重資產證券投資信託基金 A類型 (澳幣)PineBridge Em Mkts Dynamic Multi-Asset A AUD3.8111.2521.3620.1738.8548.1513.1225.17 14.44 0.25  
柏瑞新興動態多重資產證券投資信託基金 B類型 (澳幣)PineBridge Em Mkts Dynamic Multi-Asset B AUD3.8111.2621.3920.2238.8948.1413.0725.22 14.44 0.25  
柏瑞新興動態多重資產證券投資信託基金 N類型 (澳幣)PineBridge Em Mkts Dynamic Multi-Asset N AUD3.8111.2621.3920.2238.8948.1413.125.22 14.44 0.25  
聯邦環太平洋平衡證券投資信託基金 A類型 (美元)Union APEC Balanced Fund A (USD)10.619.5139.4133.9858.8972.7371.8932.08 11.49 0.32  
聯邦環太平洋平衡證券投資信託基金 B類型 (美元)Union APEC Balanced Fund B (USD)10.619.5239.4234.0459.0372.9471.9332.11 11.49 0.32  
新光美國豐收平衡證券投資信託基金 A類型 (人民幣)Shin Kong US Harvest Balanced Fund A CNY-0.17-0.090.871.5911.410.448.470.09 7.06 0.09  
安聯收益成長多重資產證券投資信託基金-N類型-美元Allianz Global Investors Income and Growth N USD1.754.4512.5211.0432.8237.0937.4310.22 7.97 0.21  
凱基臺灣多元收益多重資產證券投資信託基金 NKGI Taiwan Multi-Asset Income Fund N0.844.669.425.519.4932.5332.146.43 5.13 0.44  
安聯收益成長多重資產證券投資信託基金-A類型-美元Allianz Global Investors Income and Growth A USD1.854.4912.5611.1332.9837.1437.5210.3 7.99 0.21  
安聯收益成長多重資產證券投資信託基金-B類型-美元Allianz Global Investors Income and Growth B USD1.874.4612.5711.0832.9737.0937.4410.26 7.99 0.21  
中國信託樂齡收益平衡證券投資信託基金 NB類型 (新台幣)CTBC Global Silver Age Income Fund NB TWD4.3410.5512.037.4930.5429.5335.784.83 8.76 0.23  
中國信託樂齡收益平衡證券投資信託基金 NB類型 (美元)CTBC Global Silver Age Income Fund NB USD3.357.5516.6612.3149.3347.35 12.03 10.66 0.22  
野村多元收益多重資產證券投資信託基金 N 累積 (新臺幣)Nomura Multi Inc Multi-Asset N Acc TWD1.836.578.374.7827.3228.8534.63.67 9.06 0.22  
野村多元收益多重資產證券投資信託基金 N 月配 (新臺幣)Nomura Multi Inc Multi-Asset N Div pay-Monthly TWD1.836.558.44.8327.3628.8834.663.71 9.05 0.22  
野村多元收益多重資產證券投資信託基金 N 月配 (美元)Nomura Multi Inc Multi-Asset N Div pay-Monthly USD1.164.4912.299.1335.5139.7832.619.6 9.04 0.19  
野村多元收益多重資產證券投資信託基金 N 月配 (人民幣)Nomura Multi Inc Multi-Asset N Div pay-Monthly CNY1.023.6310.46.8429.2330.7429.217.05 9.56 0.22  
中國信託亞太實質收息多重資產證券投資信託基金 A類型 (新台幣)CTBC Asia Pacific Real Income Fund A TWD-1.892.449.444.1116.589.1113.315.11 11.1 0.04  
中國信託亞太實質收息多重資產證券投資信託基金 B類型 (新台幣)CTBC Asia Pacific Real Income Fund B TWD-1.812.489.454.1316.489.1513.395.13 11.1 0.04  
中國信託亞太實質收息多重資產證券投資信託基金 NB類型 (新台幣)CTBC Asia Pacific Real Income Fund NB TWD-1.812.489.464.1316.489.1513.395.13 11.09 0.04  
中國信託亞太實質收息多重資產證券投資信託基金 A類型 (美元)CTBC Asia Pacific Real Income Fund A USD-2.76-0.3814.648.4122.7614.276.5511.97 11.62 0  
中國信託亞太實質收息多重資產證券投資信託基金 B類型 (美元)CTBC Asia Pacific Real Income Fund B USD-2.7-0.3314.828.4622.914.346.6312.11 11.7 0  
中國信託亞太實質收息多重資產證券投資信託基金 NB類型 (美元)CTBC Asia Pacific Real Income Fund NB USD-2.81-0.3314.668.4622.914.346.6312.11 11.66 0  
中國信託亞太實質收息多重資產證券投資信託基金 B類型 (澳幣)CTBC Asia Pacific Real Income Fund B AUD-1.78-2.1411.968.9118.9211.7614.535.96 11.9 -0.01  
中國信託亞太實質收息多重資產證券投資信託基金 NB類型 (澳幣)CTBC Asia Pacific Real Income Fund NB AUD-1.78-2.2511.818.9118.9211.7614.535.83 11.88 -0.01  
聯博收益傘型證券投資信託基金之聯博多元資產收益組合基金 N類型 (新台幣)ABITL Multi-Asset Income Fund of Funds N TWD1.66.259.57.6827.5633.7539.357.21 7.02 0.34  
聯博收益傘型證券投資信託基金之聯博多元資產收益組合基金 N類型 (美元)ABITL Multi-Asset Income Fund of Funds N USD1.365.6213.4712.1636.1444.240.6812.97 7.5 0.26  
聯博收益傘型證券投資信託基金之聯博多元資產收益組合基金 N類型 (人民幣)ABITL Multi-Asset Income Fund of Funds N RMB1.114.7411.678.9728.5332.42 10.2 9.16 0.27  
聯博收益傘型證券投資信託基金之聯博多元資產收益組合基金 N類型 (南非幣)ABITL Multi-Asset Income Fund of Funds N ZAR1.546.1514.7314.7342.5954.81 14.94 15.37 0.24  
聯博收益傘型證券投資信託基金之聯博多元資產收益組合基金 N類型 (澳幣)ABITL Multi-Asset Income Fund of Funds N AUD1.315.2912.8910.7332.2237.23 11.6 12.82 0.23  
聯邦高息策略多重資產證券投資信託基金 A類型 (新臺幣)Union Multi-Asset High Income Fund A (TWD)2.978.079.012.7639.8352.825.02-0.79 8.87 0.41  
聯邦高息策略多重資產證券投資信託基金 B類型 (新臺幣)Union Multi-Asset High Income Fund B (TWD)2.877.968.972.7239.752.74.93-0.77 8.88 0.41  
聯邦高息策略多重資產證券投資信託基金 ND類型 (新臺幣)Union Multi-Asset High Income Fund ND (TWD)3.028.118.972.7239.752.74.93-0.77 8.89 0.41  
聯邦高息策略多重資產證券投資信託基金 A類型 (美元)Union Multi-Asset High Income Fund A (USD)1.915.0213.446.8947.0959.8-1.335.71 8.92 0.31  
聯邦高息策略多重資產證券投資信託基金 B類型 (美元)Union Multi-Asset High Income Fund B (USD)2.085.0713.456.9647.3160.09-0.895.74 9 0.32  
聯邦高息策略多重資產證券投資信託基金 ND類型 (美元)Union Multi-Asset High Income Fund ND (USD)1.955.0913.326.8147.2459.75-1.295.59 8.98 0.31  
聯邦高息策略多重資產證券投資信託基金 A類型 (南非幣)Union Multi-Asset High Income Fund A (ZAR)2.430.55.635.5236.3451.195.3-2.6 9.13 0.14  
聯邦高息策略多重資產證券投資信託基金 B類型 (南非幣)Union Multi-Asset High Income Fund B (ZAR)2.290.455.625.536.2351.115.41-2.56 9.09 0.14  
聯邦高息策略多重資產證券投資信託基金 ND類型 (南非幣)Union Multi-Asset High Income Fund ND (ZAR)2.430.585.765.6336.4551.115.42-2.57 9.13 0.14  
柏瑞多重資產特別收益證券投資信託基金 IA類型 (新臺幣)PineBridge Multi-Income Fund IA TWD0.563.292.211.69   0.82      
聯博美國傘型證券投資信託基金之聯博美國多重資產收益證券投資信託基金 A2類型 (新臺幣)ABITL US Multi-Asset Income Fund A2 TWD1.055.1510.077.2330.6136.47 5.86 7.74 0.33  
聯博美國傘型證券投資信託基金之聯博美國多重資產收益證券投資信託基金 A2類型 (美元)ABITL US Multi-Asset Income Fund A2 USD0.774.3713.6411.539.5648.22 11.06 7.95 0.28  
聯博美國傘型證券投資信託基金之聯博美國多重資產收益證券投資信託基金 AD類型 (新臺幣)ABITL US Multi-Asset Income Fund AD TWD1.045.0710.057.1530.5436.39 5.78 7.75 0.33  
聯博美國傘型證券投資信託基金之聯博美國多重資產收益證券投資信託基金 AD類型 (美元)ABITL US Multi-Asset Income Fund AD USD0.794.3813.6611.539.5648.23 11.09 7.98 0.28  
聯博美國傘型證券投資信託基金之聯博美國多重資產收益證券投資信託基金 AI類型 (新臺幣)ABITL US Multi-Asset Income Fund AI TWD1.085.0910.067.2330.6836.51 5.86 7.77 0.33  
聯博美國傘型證券投資信託基金之聯博美國多重資產收益證券投資信託基金 AI類型 (美元)ABITL US Multi-Asset Income Fund AI USD0.834.4413.6611.5139.4948.29 11.08 7.94 0.28  
聯博美國傘型證券投資信託基金之聯博美國多重資產收益證券投資信託基金 AI類型 (人民幣)ABITL US Multi-Asset Income Fund AI RMB0.563.6211.838.5231.9436.19 8.41 8.89 0.29  
聯博美國傘型證券投資信託基金之聯博美國多重資產收益證券投資信託基金 N類型 (新臺幣)ABITL US Multi-Asset Income Fund N TWD1.085.2210.067.2330.6836.51 5.86 7.73 0.33  
聯博美國傘型證券投資信託基金之聯博美國多重資產收益證券投資信託基金 N類型 (美元)ABITL US Multi-Asset Income Fund N USD0.744.3513.6611.5139.4948.29 11.08 7.94 0.28  
柏瑞 ESG 量化多重資產證券投資信託基金 A 類型 (新臺幣)PineBridge ESG Quantitative Inc and Growth A TWD1.136.477.27.4324.3730.13 5.5 5.93 0.35  
柏瑞 ESG 量化多重資產證券投資信託基金 B 類型 (新臺幣)PineBridge ESG Quantitative Inc and Growth B TWD1.136.477.237.4624.3830.12 5.52 5.92 0.35  
柏瑞 ESG 量化多重資產證券投資信託基金 N 類型 (新臺幣)PineBridge ESG Quantitative Inc and Growth N TWD1.136.477.237.4624.3830.11 5.52 5.92 0.35  
柏瑞 ESG 量化多重資產證券投資信託基金 N9 類型 (新臺幣)PineBridge ESG Quantitative Inc and Growth N9 TWD1.136.477.27.4324.3730.12 5.5 5.93 0.35  
柏瑞 ESG 量化多重資產證券投資信託基金 I 類型 (新臺幣)PineBridge ESG Quantitative Inc and Growth I TWD1.196.637.538.0825.8832.49 6.03 5.93 0.38  
柏瑞 ESG 量化多重資產證券投資信託基金 A 類型 (澳幣)PineBridge ESG Quantitative Inc and Growth A AUD0.674.2210.3611.2629.2734.11 10.59 10.73 0.26  
柏瑞 ESG 量化多重資產證券投資信託基金 B 類型 (澳幣)PineBridge ESG Quantitative Inc and Growth B AUD0.664.2210.3911.3229.3234.12 10.65 10.72 0.26  
柏瑞 ESG 量化多重資產證券投資信託基金 N 類型 (澳幣)PineBridge ESG Quantitative Inc and Growth N AUD0.664.2210.3911.3229.3234.12 10.65 10.72 0.26  
柏瑞 ESG 量化多重資產證券投資信託基金 N9 類型 (澳幣)PineBridge ESG Quantitative Inc and Growth N9 AUD0.674.2210.3611.2529.2634.11 10.59 10.73 0.26  
柏瑞 ESG 量化多重資產證券投資信託基金 A 類型(人民幣)PineBridge ESG Quantitative Inc and Growth A CNY0.393.789.48.8725.3728.5 9.04 7.68 0.29  
柏瑞 ESG 量化多重資產證券投資信託基金 B 類型(人民幣)PineBridge ESG Quantitative Inc and Growth B CNY0.393.789.448.9225.4128.5 9.09 7.67 0.29  
柏瑞 ESG 量化多重資產證券投資信託基金 N 類型(人民幣)PineBridge ESG Quantitative Inc and Growth N CNY0.393.789.448.9225.4128.5 9.09 7.67 0.29  
柏瑞 ESG 量化多重資產證券投資信託基金 N9 類型(人民幣)PineBridge ESG Quantitative Inc and Growth N9 CNY0.393.789.48.8725.3728.5 9.04 7.68 0.29  
柏瑞 ESG 量化多重資產證券投資信託基金 A 類型(美元)PineBridge ESG Quantitative Inc and Growth A USD0.564.5511.0511.6531.5837.76 11.47 6.56 0.24  
柏瑞 ESG 量化多重資產證券投資信託基金 B 類型(美元)PineBridge ESG Quantitative Inc and Growth B USD0.564.5511.0811.6831.5837.75 11.5 6.55 0.24  
柏瑞 ESG 量化多重資產證券投資信託基金 N 類型(美元)PineBridge ESG Quantitative Inc and Growth N USD0.564.5511.0911.6931.5837.75 11.5 6.55 0.24  
柏瑞 ESG 量化多重資產證券投資信託基金 N9 類型(美元)PineBridge ESG Quantitative Inc and Growth N9 USD0.564.5511.0511.6531.5837.76 11.47 6.56 0.24  
柏瑞 ESG 量化多重資產證券投資信託基金 B 類型(南非幣)PineBridge ESG Quantitative Inc and Growth B ZAR0.784.4110.7913.0734.6645.03 11.78 13.22 0.21  
柏瑞 ESG 量化多重資產證券投資信託基金 N 類型(南非幣)PineBridge ESG Quantitative Inc and Growth N ZAR0.784.4210.7913.0734.6545.02 11.78 13.22 0.21  
施羅德全週期成長多重資產證券投資信託基金 (新台幣) 累積Schroder All Cycle Growth Fund TWD Acc2.317.9810.879.0533.2737.13 7.54 7.02 0.37  
施羅德全週期成長多重資產證券投資信託基金 (美元) 累積Schroder All Cycle Growth Fund USD Acc1.585.4915.1213.5941.2745.1 14.2 7.31 0.26  
施羅德全週期成長多重資產證券投資信託基金 (新台幣) 配息Schroder All Cycle Growth Fund TWD Dis2.257.8810.859.0133.3437.04 7.55 7.01 0.37  
施羅德全週期成長多重資產證券投資信託基金 (美元) 配息Schroder All Cycle Growth Fund USD Dis1.485.5315.0613.4641.0945.13 14.06 7.22 0.27  
安聯收益成長多重資產證券投資信託基金-C類型-新臺幣Allianz Global Investors Income and Growth C TWD2.125.369.166.8523.0923.23 5.15 7.98 0.2  
安聯收益成長多重資產證券投資信託基金-C類型-美元Allianz Global Investors Income and Growth C USD1.844.4512.5511.1132.937.08 10.31 8.03 0.21  
凱基未來世代關鍵收息多重資產證券投資信託基金 A不配息 (新臺幣)KGI Next Generation Multi-Asset Fund A TWD3.367.6913.425.2442.8953.32 6.78 13.58 0.27  
凱基未來世代關鍵收息多重資產證券投資信託基金 B月配 (新臺幣)KGI Next Generation Multi-Asset Fund B TWD3.337.7313.45.2742.8653.35 6.79 13.58 0.27  
凱基未來世代關鍵收息多重資產證券投資信託基金 NA不配息 (新臺幣)KGI Next Generation Multi-Asset Fund NA TWD3.357.6913.415.2442.9953.43 6.77 13.62 0.27  
凱基未來世代關鍵收息多重資產證券投資信託基金 NB月配 (新臺幣)KGI Next Generation Multi-Asset Fund NB TWD3.327.7313.515.2742.9953.49 6.79 13.61 0.27  
凱基未來世代關鍵收息多重資產證券投資信託基金 A不配息 (美元)KGI Next Generation Multi-Asset Fund A USD3.066.7816.488.6250.9464.85 11.2 12.44 0.23  
凱基未來世代關鍵收息多重資產證券投資信託基金 B月配 (美元)KGI Next Generation Multi-Asset Fund B USD3.146.9216.79.2152.3366.91 11.73 12.39 0.24  
凱基未來世代關鍵收息多重資產證券投資信託基金 NA不配息 (美元)KGI Next Generation Multi-Asset Fund NA USD3.136.7816.488.6250.9464.85 11.2 12.41 0.23  
凱基未來世代關鍵收息多重資產證券投資信託基金 NB月配 (美元)KGI Next Generation Multi-Asset Fund NB USD3.066.6516.429.0352.0566.22 11.45 12.34 0.24  
凱基未來世代關鍵收息多重資產證券投資信託基金 A不配息(人民幣)KGI Next Generation Multi-Asset Fund A CNY2.825.8114.567.0644.7356.06 8.66 13.1 0.27  
凱基未來世代關鍵收息多重資產證券投資信託基金 B月配(人民幣)KGI Next Generation Multi-Asset Fund B CNY2.85.7514.537.0344.7556.06 8.59 13.1 0.27  
凱基未來世代關鍵收息多重資產證券投資信託基金 NA不配息(人民幣)KGI Next Generation Multi-Asset Fund NA CNY2.895.8114.627.0544.7955.94 8.64 13.13 0.27  
凱基未來世代關鍵收息多重資產證券投資信託基金 NB月配 (人民幣)KGI Next Generation Multi-Asset Fund NB CNY2.95.8614.657.1344.9456.09 8.7 13.18 0.27  
凱基未來世代關鍵收息多重資產證券投資信託基金 A不配息(南非幣)KGI Next Generation Multi-Asset Fund A ZAR3.44.2912.799.3148.6567.35 7.52 15.03 0.19  
凱基未來世代關鍵收息多重資產證券投資信託基金 B月配(南非幣)KGI Next Generation Multi-Asset Fund B ZAR3.374.2912.689.2848.8867.6 7.51 15.04 0.19  
凱基未來世代關鍵收息多重資產證券投資信託基金 NA不配息(南非幣)KGI Next Generation Multi-Asset Fund NA ZAR3.44.2912.729.3148.6567.35 7.45 15.04 0.19  
凱基未來世代關鍵收息多重資產證券投資信託基金 NB月配(南非幣)KGI Next Generation Multi-Asset Fund NB ZAR3.374.2912.799.3848.8367.55 7.6 15 0.19  
宏利實質多重資產證券投資信託基金 A類型 (新臺幣)Manulife Real Asset Income Multi Assets A TWD0.092.741.610.9113.6711.38 1.9 6.6 0.09  
宏利實質多重資產證券投資信託基金 B類型 (新臺幣)Manulife Real Asset Income Multi Assets B TWD0.223.880.680.041310.5 0.37 7.16 0.07  
宏利實質多重資產證券投資信託基金 A類型 (美元)Manulife Real Asset Income Multi Assets A USD-0.282.283.973.6719.9419.15 5.57 7.57 0.04  
宏利實質多重資產證券投資信託基金 B類型 (美元)Manulife Real Asset Income Multi Assets B USD-0.282.283.973.6719.9519.16 5.57 7.57 0.04  
宏利實質多重資產證券投資信託基金 A類型 (人民幣避險)Manulife Real Asset Income Multi Assets A RMB-H-0.51.522.531.1714.2310.39 3.71 9.4 0.07  
宏利實質多重資產證券投資信託基金 B類型 (人民幣避險)Manulife Real Asset Income Multi Assets B RMB-H-0.51.572.470.5913.689.74 3.41 9.49 0.06  
宏利實質多重資產證券投資信託基金 A類型 (南非幣避險)Manulife Real Asset Income Multi Assets A ZAR-H-0.022.925.387.924.2123.65 8.31 13.51 -0.02  
宏利實質多重資產證券投資信託基金 B類型 (南非幣避險)Manulife Real Asset Income Multi Assets B ZAR-H-0.042.644.996.6425.6228.8 7.79 15.09 0.03  
宏利實質多重資產證券投資信託基金 A類型 (澳幣避險)Manulife Real Asset Income Multi Assets A AUD-H-0.272.093.653.5118.8116.26 5.41 13.13 0.03  
宏利實質多重資產證券投資信託基金 B類型 (澳幣避險)Manulife Real Asset Income Multi Assets B AUD-H-0.292.073.622.6917.2414.36 5.44 12.97 0.01  
宏利實質多重資產證券投資信託基金 NA類型 (新臺幣)Manulife Real Asset Income Multi Assets NA TWD-0.043.111.17-0.0912.8910.38 0.99 6.82 0.07  
宏利實質多重資產證券投資信託基金 NB類型 (新臺幣)Manulife Real Asset Income Multi Assets NB TWD0.143.371.2-0.0312.6410.33 1.01 6.79 0.07  
宏利實質多重資產證券投資信託基金 NA類型 (美元)Manulife Real Asset Income Multi Assets NA USD-0.282.283.973.6719.9419.15 5.57 7.57 0.04  
宏利實質多重資產證券投資信託基金 NB類型 (美元)Manulife Real Asset Income Multi Assets NB USD-0.282.283.973.6719.9419.15 5.57 7.57 0.04  
宏利實質多重資產證券投資信託基金 NA類型 (人民幣避險)Manulife Real Asset Income Multi Assets NA RMB-H-0.511.82.310.9613.399.43 3.47 9.33 0.06  
宏利實質多重資產證券投資信託基金 NB類型 (人民幣避險)Manulife Real Asset Income Multi Assets NB RMB-H-0.511.562.51.1813.69.82 3.75 9.3 0.06  
宏利實質多重資產證券投資信託基金 NA類型 (南非幣避險)Manulife Real Asset Income Multi Assets NA ZAR-H-0.032.675.286.4126.8431.27 8.21 15.11 0.05  
宏利實質多重資產證券投資信託基金 NB類型 (南非幣避險)Manulife Real Asset Income Multi Assets NB ZAR-H-0.113.856.287.8429.8633.73 9.13 15.73 0.07  
宏利實質多重資產證券投資信託基金 NA類型 (澳幣避險)Manulife Real Asset Income Multi Assets NA AUD-H-0.262.084.043.6719.2615.71 5.62 13.12 0.03  
宏利實質多重資產證券投資信託基金 NB類型 (澳幣避險)Manulife Real Asset Income Multi Assets NB AUD-H-0.312.173.623.2618.0415.4 4.94 12.88 0.03  
台新高股息平衡證券投資信託基金B類型Taishin High Dividend Yield Balanced Fund B-2.311.2415.62.3847.53111.29 -1.8 16.57 0.41  
台新高股息平衡證券投資信託基金NA類型Taishin High Dividend Yield Balanced Fund NA-2.311.2415.62.3847.53111.29 -1.81 16.57 0.41  
台新高股息平衡證券投資信託基金NB類型Taishin High Dividend Yield Balanced Fund NB-2.311.2415.62.3847.53111.28 -1.81 16.57 0.41  
?豐ESG永續多元資產組合證券投資信託基金 不配息 (新臺幣)HSBC ESG Sustainable Multi-Asset FOF ACHTWD2.686.6813.759.2722.6924.12 9.57 6.84 0.24  
?豐ESG永續多元資產組合證券投資信託基金 月配息 (新台幣)HSBC ESG Sustainable Multi-Asset FOF APMTWD2.686.6813.759.2722.6924.12 9.57 6.84 0.24  
?豐ESG永續多元資產組合證券投資信託基金 不配息 (人民幣)HSBC ESG Sustainable Multi-Asset FOF ACHRMB2.214.715.0712.2126.6428.36 12.13 7.11 0.27  
?豐ESG永續多元資產組合證券投資信託基金 月配息 (人民幣)HSBC ESG Sustainable Multi-Asset FOF APMRMB2.214.715.0712.2126.6528.3 12.13 7.09 0.27  
?豐ESG永續多元資產組合證券投資信託基金 不配息 (美元)HSBC ESG Sustainable Multi-Asset FOF ACUSD2.345.7217.1113.7732.0435.42 14.74 6.55 0.19  
?豐ESG永續多元資產組合證券投資信託基金 月配息 (美元)HSBC ESG Sustainable Multi-Asset FOF APMUSD2.345.7217.1213.7131.9735.61 14.74 6.55 0.19  
群益環球金綻雙喜證券投資信託基金 A類型 (人民幣)Capital Global Abundant Income fund of Fund A CNY1.245.4312.747.3726.8524.57 7.22 8.34 0.22  
群益環球金綻雙喜證券投資信託基金 NA類型 (人民幣)Capital Global Abundant Income fund of Fund NA CNY1.245.4312.747.3726.8524.56 7.22 8.34 0.22  
富達趨勢收益傘型證券投資信託基金之富達智慧醫療多重資產收益證券投資信託基金 A 累積 (新臺幣)Fidelity (TW) Mdc Innvt Mlt Inc A-ACC-TWD2.696.82-1.3-7.886.83-0.35 -3.7 10.13 -0.05  
富達趨勢收益傘型證券投資信託基金之富達智慧醫療多重資產收益證券投資信託基金 A 月配息 (新臺幣)Fidelity (TW) Mdc Innvt Mlt Inc A-MCDIST(G)-TWD2.696.84-1.29-7.866.91-0.33 -3.68 10.14 -0.05  
富達趨勢收益傘型證券投資信託基金之富達智慧醫療多重資產收益證券投資信託基金 A 累積 (美元)Fidelity (TW) Mdc Innvt Mlt Inc A-ACC-USD2.085.051.95-4.3613.296.44 1.38 10.86 -0.07  
富達趨勢收益傘型證券投資信託基金之富達智慧醫療多重資產收益證券投資信託基金 A 月配息 (美元)Fidelity (TW) Mdc Innvt Mlt Inc A-MCDIST(G)-USD2.085.051.95-4.3613.296.44 1.38 10.86 -0.07  
富達趨勢收益傘型證券投資信託基金之富達智慧醫療多重資產收益證券投資信託基金 A 累積 (人民幣避險)Fidelity (TW) Mdc Innvt Mlt Inc A-ACC-RMB H1.874.250.38-6.787.23-1.89 -0.92 11.96 -0.06  
富達趨勢收益傘型證券投資信託基金之富達智慧醫療多重資產收益證券投資信託基金 A 月配息 (人民幣避險)Fidelity (TW) Mdc Innvt Mlt Inc A-MCDIST(G)-RMB H000000 0 5.98 -38.37  
富達趨勢收益傘型證券投資信託基金之富達未來通訊多重資產收益證券投資信託基金 A 累積 (新臺幣)Fidelity (TW) Fut Connct Mlt Inc A-ACC-TWD3.269.2517.1211.6534.9138.55 10.68 9.99 0.27  
富達趨勢收益傘型證券投資信託基金之富達未來通訊多重資產收益證券投資信託基金 A 月配息 (新臺幣)Fidelity (TW) Fut Connct Mlt Inc A-MCDIST(G)-TWD3.259.2617.111.6334.9338.58 10.66 9.99 0.27  
富達趨勢收益傘型證券投資信託基金之富達未來通訊多重資產收益證券投資信託基金 A 累積 (美元)Fidelity (TW) Fut Connct Mlt Inc A-ACC-USD2.647.4120.9515.8142.8447.66 16.48 9.89 0.21  
富達趨勢收益傘型證券投資信託基金之富達未來通訊多重資產收益證券投資信託基金 A 月配息 (美元)Fidelity (TW) Fut Connct Mlt Inc A-MCDIST(G)-USD2.647.4120.9515.8142.8447.67 16.48 9.89 0.21  
富達趨勢收益傘型證券投資信託基金之富達未來通訊多重資產收益證券投資信託基金 A 累積 (人民幣避險)Fidelity (TW) Fut Connct Mlt Inc A-ACC-RMB H000000 0 5.98 -38.37  
富達趨勢收益傘型證券投資信託基金之富達未來通訊多重資產收益證券投資信託基金 A 月配息 (人民幣避險)Fidelity (TW) Fut Connct Mlt Inc A-MCDIST(G)-RMB H000000 0 5.98 -38.37  
合庫全球醫療照護產業多重資產收益證券投資信託基金A類型(新台幣)TCB Global Healthcare Multi-Asset Income A TWD2.7911.3712.38.6542.5930.4 12.9 11.43 0.18  
合庫全球醫療照護產業多重資產收益證券投資信託基金B類型(新台幣)TCB Global Healthcare Multi-Asset Income B TWD2.8211.312.388.7442.6930.4 12.96 11.43 0.18  
合庫全球醫療照護產業多重資產收益證券投資信託基金NB類型(新台幣)TCB Global Healthcare Multi-Asset Income NB TWD2.711.3212.48.6242.5430.26 12.97 11.42 0.18  
合庫全球醫療照護產業多重資產收益證券投資信託基金A類型(澳幣)TCB Global Healthcare Multi-Asset Income A AUD3.528.3715.3914.949.5244.16 15.39 11.85 0.25  
合庫全球醫療照護產業多重資產收益證券投資信託基金B類型(澳幣)TCB Global Healthcare Multi-Asset Income B AUD3.568.4915.5615.0149.5942.81 15.58 11.91 0.24  
合庫全球醫療照護產業多重資產收益證券投資信託基金A類型(人民幣)TCB Global Healthcare Multi-Asset Income A CNY2.38.7415.8214.149.2941.62 17.94 11.2 0.26  
合庫全球醫療照護產業多重資產收益證券投資信託基金B類型(人民幣)TCB Global Healthcare Multi-Asset Income B CNY2.318.7315.5813.9549.1541.53 17.78 11.22 0.26  
合庫全球醫療照護產業多重資產收益證券投資信託基金A類型(美元)TCB Global Healthcare Multi-Asset Income A USD2.4310.1718.1914.3953.8645.58 21.6 11.09 0.18  
合庫全球醫療照護產業多重資產收益證券投資信託基金B類型(美元)TCB Global Healthcare Multi-Asset Income B USD2.5310.1318.1714.3753.7145.71 21.54 11.08 0.19  
合庫全球醫療照護產業多重資產收益證券投資信託基金NB類型(美元)TCB Global Healthcare Multi-Asset Income NB USD2.5310.2318.4114.6154.2145.99 21.94 11.06 0.19  
合庫全球醫療照護產業多重資產收益證券投資信託基金A類型(南非幣)TCB Global Healthcare Multi-Asset Income A ZAR2.7810.0319.4616.8661.4448.31 24.74 17.89 0.12  
合庫全球醫療照護產業多重資產收益證券投資信託基金B類型(南非幣)TCB Global Healthcare Multi-Asset Income B ZAR2.7610.0519.8517.5462.3549.14 25.25 17.79 0.13  
野村多元收益多重資產證券投資信託基金 N 累積 (美元)Nomura Multi Inc Multi-Asset N Acc USD1.164.512.319.1535.5539.82 9.63 9.04 0.19  
安聯四季雙收入息組合證券投資信託基金 R類型 (新臺幣)Allianz Global Investors All Ssn Dbl Inc FoF R TWD3.1910.411.988.6830.8739.98 6.16 7.74 0.36  
元大全球ETF穩健組合證券投資信託基金 R類型 (新台幣)Yuanta Global ETFs Stable Fund of Funds R TWD3.229.979.976.942730.53 5.43 7.93 0.27  
國泰收益傘型證券投資信託基金之全球多重收益平衡證券投資信託基金 R類型 (新台幣)Cathay Global Multiple Income Balanced Fund R TWD2.448.4611.669.4829.9835.33 6.4 7.84 0.32  
聯邦低碳目標多重資產證券投資信託基金 A類型 (新臺幣)Union Multi-Asset Low Carbon Target Fund A (TWD)4.6412.9711.9113.0437.5746.3 11.86 7.19 0.45  
聯邦低碳目標多重資產證券投資信託基金 NA類型 (新臺幣)Union Multi-Asset Low Carbon Target Fund NA (TWD)4.6412.9711.9113.0437.5746.3 11.86 7.19 0.45  
聯邦低碳目標多重資產證券投資信託基金 A類型 (美元)Union Multi-Asset Low Carbon Target Fund A (USD)3.699.9116.5317.7545.0453.25 19.25 7.25 0.35  
聯邦低碳目標多重資產證券投資信託基金 NA類型 (美元)Union Multi-Asset Low Carbon Target Fund NA (USD)3.699.9116.5317.7545.0453.25 19.25 7.25 0.35  
瀚亞多重收益優化組合證券投資信託基金SA-新臺幣Eastspring Investments Optimal Inc Fd of Fd SA TWD2.127.077.946.3266 4.13 4.25 0.03  
合庫環境及社會責任多重資產證券投資信託基金A類型(新台幣)TCB Environ & Socially Resp Mlt-Asst A TWD3.938.0611.178.7721.6716.86 10.08 10.38 0.1  
合庫環境及社會責任多重資產證券投資信託基金B類型(新台幣)TCB Environ & Socially Resp Mlt-Asst B TWD3.897.9611.078.6621.6416.82 9.94 10.39 0.1  
合庫環境及社會責任多重資產證券投資信託基金NB類型(新台幣)TCB Environ & Socially Resp Mlt-Asst NB TWD3.897.9611.088.7821.6416.83 9.94 10.39 0.1  
合庫環境及社會責任多重資產證券投資信託基金A類型(人民幣)TCB Environ & Socially Resp Mlt-Asst A CNY3.55.5913.5913.2429.8935.69 13.35 8.7 0.27  
合庫環境及社會責任多重資產證券投資信託基金B類型(人民幣)TCB Environ & Socially Resp Mlt-Asst B CNY3.415.5213.5813.3329.8535.68 13.41 8.69 0.27  
合庫環境及社會責任多重資產證券投資信託基金A類型(美元)TCB Environ & Socially Resp Mlt-Asst A USD3.616.9615.9413.5333.8739.51 16.81 8.7 0.17  
合庫環境及社會責任多重資產證券投資信託基金B類型(美元)TCB Environ & Socially Resp Mlt-Asst B USD3.496.7615.9113.4933.8339.55 16.82 8.7 0.17  
合庫環境及社會責任多重資產證券投資信託基金NB類型(美元)TCB Environ & Socially Resp Mlt-Asst NB USD3.596.8616.1413.7134.0939.82 17.06 8.75 0.17  
合庫環境及社會責任多重資產證券投資信託基金A類型(南非幣)TCB Environ & Socially Resp Mlt-Asst A ZAR3.878.6118.7315.7447.4250.18 22.69 16.48 0.16  
合庫環境及社會責任多重資產證券投資信託基金B類型(南非幣)TCB Environ & Socially Resp Mlt-Asst B ZAR3.857.818.4516.1348.1850.9 22.58 16.23 0.16  
中國信託科技趨勢多重資產證券投資信託基金A類型(新台幣)CTBC Global Tech Trends Multi-Asset Fund A TWD4.4110.3517.3512.4838.750.74 9.27 9.2 0.38  
中國信託科技趨勢多重資產證券投資信託基金B類型(新台幣)CTBC Global Tech Trends Multi-Asset Fund B TWD4.4110.3517.3612.3938.5950.62 9.19 9.21 0.38  
中國信託科技趨勢多重資產證券投資信託基金NB類型(新台幣)CTBC Global Tech Trends Multi-Asset Fund NB TWD4.4110.3517.3512.438.650.63 9.19 9.21 0.38  
中國信託科技趨勢多重資產證券投資信託基金A類型(美元)CTBC Global Tech Trends Multi-Asset Fund A USD3.467.3622.1917.0346.0657.74 16.36 9.13 0.29  
中國信託科技趨勢多重資產證券投資信託基金B類型(美元)CTBC Global Tech Trends Multi-Asset Fund B USD3.467.3622.1917.1646.2257.91 16.4 9.13 0.3  
中國信託科技趨勢多重資產證券投資信託基金NB類型(美元)CTBC Global Tech Trends Multi-Asset Fund NB USD3.467.3622.1917.1246.1757.85 16.39 9.13 0.3  
聯邦環太平洋平衡證券投資信託基金 NA類型 (新臺幣)Union APEC Balanced Fund NA (TWD)11.6122.8533.9128.6650.7864.98 23.91 11.42 0.39  
聯邦環太平洋平衡證券投資信託基金 ND類型 (新臺幣)Union APEC Balanced Fund ND (TWD)              
聯邦環太平洋平衡證券投資信託基金 NA類型 (美元)Union APEC Balanced Fund NA (USD)10.619.5339.433458.972.74 32.1 11.49 0.32  
聯邦環太平洋平衡證券投資信託基金 ND類型 (美元)Union APEC Balanced Fund ND (USD)10.5919.5139.3733.9658.9172.75 32.05 11.48 0.32  
柏瑞趨勢動態多重資產證券投資信託基金-A類型PineBridge Thematic Dynamic Multi-Asset Fd A TWD2.799.29.298.8328.5535.24 6.13 7.52 0.33  
柏瑞趨勢動態多重資產證券投資信託基金-B類型PineBridge Thematic Dynamic Multi-Asset Fd B TWD2.799.219.328.8528.5735.25 6.15 7.52 0.33  
柏瑞趨勢動態多重資產證券投資信託基金-N類型PineBridge Thematic Dynamic Multi-Asset Fd N TWD2.799.219.328.8628.5735.25 6.16 7.52 0.33  
柏瑞趨勢動態多重資產證券投資信託基金-N9類型PineBridge Thematic Dynamic Multi-Asset Fd N9 TWD2.799.29.298.8328.5535.24 6.13 7.52 0.33  
柏瑞趨勢動態多重資產證券投資信託基金-I類型PineBridge Thematic Dynamic Multi-Asset Fd I TWD2.839.339.559.3429.7637.1 6.55 7.52 0.35  
柏瑞趨勢動態多重資產證券投資信託基金-A類型(澳幣)PineBridge Thematic Dynamic Multi-Asset Fd A AUD2.156.3613.0312.9332.8337.69 11.81 11.82 0.23  
柏瑞趨勢動態多重資產證券投資信託基金-B類型(澳幣)PineBridge Thematic Dynamic Multi-Asset Fd B AUD2.146.3713.0612.9932.8937.72 11.86 11.82 0.23  
柏瑞趨勢動態多重資產證券投資信託基金-N類型(澳幣)PineBridge Thematic Dynamic Multi-Asset Fd N AUD2.146.3713.0612.9932.8937.72 11.86 11.82 0.23  
柏瑞趨勢動態多重資產證券投資信託基金-N9類型(澳幣)PineBridge Thematic Dynamic Multi-Asset Fd N9 AUD2.156.3613.0312.9432.8337.69 11.82 11.82 0.23  
柏瑞趨勢動態多重資產證券投資信託基金-A類型(人民幣)PineBridge Thematic Dynamic Multi-Asset Fd A CNY1.85.8611.991129.1932.66 10.33 8.35 0.27  
柏瑞趨勢動態多重資產證券投資信託基金-B類型(人民幣)PineBridge Thematic Dynamic Multi-Asset Fd B CNY1.85.8712.0211.0429.2432.68 10.37 8.35 0.27  
柏瑞趨勢動態多重資產證券投資信託基金-N類型(人民幣)PineBridge Thematic Dynamic Multi-Asset Fd N CNY1.85.8712.0211.0429.2432.68 10.36 8.35 0.27  
柏瑞趨勢動態多重資產證券投資信託基金-N9類型(人民幣)PineBridge Thematic Dynamic Multi-Asset Fd N9 CNY1.85.8611.991129.1932.66 10.33 8.35 0.27  
柏瑞趨勢動態多重資產證券投資信託基金-A類型(美元)PineBridge Thematic Dynamic Multi-Asset Fd A USD1.986.6713.813.5335.9842.39 13.05 7.53 0.23  
柏瑞趨勢動態多重資產證券投資信託基金-B類型(美元)PineBridge Thematic Dynamic Multi-Asset Fd B USD1.986.6813.8313.563642.4 13.07 7.53 0.23  
柏瑞趨勢動態多重資產證券投資信託基金-N類型(美元)PineBridge Thematic Dynamic Multi-Asset Fd N USD1.986.6813.8313.5636.0142.4 13.08 7.53 0.23  
柏瑞趨勢動態多重資產證券投資信託基金-N9類型(美元)PineBridge Thematic Dynamic Multi-Asset Fd N9 USD1.986.6713.813.5335.9842.39 13.05 7.53 0.23  
柏瑞趨勢動態多重資產證券投資信託基金-I類型(美元)PineBridge Thematic Dynamic Multi-Asset Fd I USD2.026.814.0714.0737.2744.4 13.49 7.54 0.24  
富達永續減碳商機多重資產收益證券投資信託基金 A 累積 (新臺幣)Fidelity (Taiwan) Sust Rd CbnOpp A-ACC-TWD2.957.5914.0612.1837.0435.02 13.39 9.32 0.26  
富達永續減碳商機多重資產收益證券投資信託基金 A 月配息 (新臺幣)Fidelity (Taiwan) Sust Rd CbnOpp A-MCDIST(G)-TWD2.947.6114.0412.1937.0434.98 13.38 9.33 0.26  
富達永續減碳商機多重資產收益證券投資信託基金 N 累積 (新臺幣)Fidelity (Taiwan) Sust Rd CbnOpp N-ACC-TWD2.957.5814.1312.2937.2535.25 13.46 9.34 0.26  
富達永續減碳商機多重資產收益證券投資信託基金 N 月配息 (新臺幣)Fidelity (Taiwan) Sust Rd CbnOpp N-MCDIST(G)-TWD2.957.4813.9312.0936.9935 13.29 9.33 0.26  
富達永續減碳商機多重資產收益證券投資信託基金 A 累積 (美元)Fidelity (Taiwan) Sust Rd CbnOpp A-ACC-USD2.335.7917.9216.5845.4744.59 19.5 9.23 0.2  
富達永續減碳商機多重資產收益證券投資信託基金 A 月配息 (美元)Fidelity (Taiwan) Sust Rd CbnOpp A-MCDIST(G)-USD2.335.7917.9216.5545.4444.57 19.47 9.23 0.2  
富達永續減碳商機多重資產收益證券投資信託基金 N 累積 (美元)Fidelity (Taiwan) Sust Rd CbnOpp N-ACC-USD2.335.7817.9116.5845.4944.62 19.5 9.22 0.2  
富達永續減碳商機多重資產收益證券投資信託基金 N 月配息 (美元)Fidelity (Taiwan) Sust Rd CbnOpp N-MCDIST(G)-USD2.335.7917.9216.5845.4844.61 19.51 9.22 0.2  
富達永續減碳商機多重資產收益證券投資信託基金 A 累積 (人民幣避險)Fidelity (Taiwan) Sust Rd CbnOpp A-ACC-RMB H2.125.0216.1513.6337.9133.32 16.82 11.08 0.21  
富達永續減碳商機多重資產收益證券投資信託基金 A 月配息 (人民幣避險)Fidelity (Taiwan) Sust Rd CbnOpp A-MCDIST(G)-RMB H2.11516.1213.6437.8533.55 16.79 11.07 0.21  
富達永續減碳商機多重資產收益證券投資信託基金 N 累積 (人民幣避險)Fidelity (Taiwan) Sust Rd CbnOpp N-ACC-RMB H2.125.0216.0313.5137.8333.23 16.71 11.14 0.21  
富達永續減碳商機多重資產收益證券投資信託基金 N 月配息 (人民幣避險)Fidelity (Taiwan) Sust Rd CbnOpp N-MCDIST(G)-RMB H2.124.8215.9513.4837.6933.2 16.64 11.08 0.21  
台中銀 GAMMA 量化多重資產證券投資信託基金 A 新臺幣TCB GAMMA Quantitative Multi Asset Fund A TWD3.1910.618.427.3725.4732.44 4.59 8.96 0.25  
台中銀 GAMMA 量化多重資產證券投資信託基金 B 新臺幣TCB GAMMA Quantitative Multi Asset Fund B TWD3.1910.618.437.3825.4932.47 4.6 8.95 0.25  
台中銀 GAMMA 量化多重資產證券投資信託基金 C 新臺幣TCB GAMMA Quantitative Multi Asset Fund C TWD3.1910.68.417.3625.4532.42 4.58 8.96 0.25  
台中銀 GAMMA 量化多重資產證券投資信託基金 N 新臺幣TCB GAMMA Quantitative Multi Asset Fund N TWD3.1910.618.437.3825.4732.45 4.59 8.95 0.25  
台中銀 GAMMA 量化多重資產證券投資信託基金 A 人民幣TCB GAMMA Quantitative Multi Asset Fund A CNY2.346.210.7811.9528.8335.27 8.78 9.07 0.29  
台中銀 GAMMA 量化多重資產證券投資信託基金 B 人民幣TCB GAMMA Quantitative Multi Asset Fund B CNY0003.5819.1825.12 0 8.55 0.22  
台中銀 GAMMA 量化多重資產證券投資信託基金 C 人民幣TCB GAMMA Quantitative Multi Asset Fund C CNY2.346.210.7811.9528.8335.26 8.78 9.07 0.29  
台中銀 GAMMA 量化多重資產證券投資信託基金 N 人民幣TCB GAMMA Quantitative Multi Asset Fund N CNY2.346.210.7711.9428.8335.26 8.77 9.07 0.29  
台中銀 GAMMA 量化多重資產證券投資信託基金 A 美元TCB GAMMA Quantitative Multi Asset Fund A USD2.337.3912.9511.932.3638.77 11.51 8.98 0.21  
台中銀 GAMMA 量化多重資產證券投資信託基金 B 美元TCB GAMMA Quantitative Multi Asset Fund B USD2.337.3912.9411.8932.3638.78 11.5 8.98 0.21  
台中銀 GAMMA 量化多重資產證券投資信託基金 C 美元TCB GAMMA Quantitative Multi Asset Fund C USD2.337.3912.9411.8832.3438.75 11.49 8.98 0.21  
台中銀 GAMMA 量化多重資產證券投資信託基金 N 美元TCB GAMMA Quantitative Multi Asset Fund N USD2.337.3912.9511.8932.3638.78 11.5 8.98 0.21  
中國信託ESG碳商機多重資產證券投資信託基金 A類型 (新臺幣)CTBC ESG Carbon Transition Multi-Asset A TWD2.988.0112.8910.2136.8237.93 6.81 7.93 0.33  
中國信託ESG碳商機多重資產證券投資信託基金 B類型 (新臺幣)CTBC ESG Carbon Transition Multi-Asset B TWD38.0712.910.3236.7937.83 6.86 7.95 0.33  
中國信託ESG碳商機多重資產證券投資信託基金 NB類型 (新臺幣)CTBC ESG Carbon Transition Multi-Asset NB TWD38.0712.9110.3236.7937.84 6.86 7.95 0.33  
中國信託ESG碳商機多重資產證券投資信託基金 A類型 (美元)CTBC ESG Carbon Transition Multi-Asset A USD2.055.1117.6214.9144.2144.37 13.9 8.07 0.22  
中國信託ESG碳商機多重資產證券投資信託基金 B類型 (美元)CTBC ESG Carbon Transition Multi-Asset B USD25.0817.5414.9144.1544.47 13.97 8.04 0.22  
中國信託ESG碳商機多重資產證券投資信託基金 NB類型 (美元)CTBC ESG Carbon Transition Multi-Asset NB USD2.095.1817.6714.9144.3244.47 13.97 8.08 0.22  
貝萊德環球動態趨勢多元資產組合證券投資信託基金 A 累積 (新台幣)BlackRock Glo Dnm Trds Multi-Asset FOFs A TWD Acc3.19.211.9210.2237.3144.3 8.2 7.98 0.39  
貝萊德環球動態趨勢多元資產組合證券投資信託基金 A 累積 (美元)BlackRock Glo Dnm Trds Multi-Asset FOFs A USD Acc2.216.2516.5514.8344.7251.07 15.37 7.86 0.29  
貝萊德環球動態趨勢多元資產組合證券投資信託基金 A 累積 (人民幣)BlackRock Glo Dnm Trds Multi-Asset FOFs A RMB Acc1.954.8814.1114.5340.4746.77 11.83 7.96 0.4  
貝萊德環球動態趨勢多元資產組合證券投資信託基金 A 月配 (新台幣)BlackRock Glo Dnm Trds Multi-Asset FOFs A TWD Dis3.079.2311.8810.2537.2244.21 8.18 7.95 0.39  
貝萊德環球動態趨勢多元資產組合證券投資信託基金 A 月配 (美元)BlackRock Glo Dnm Trds Multi-Asset FOFs A USD Dis2.156.2616.514.7744.7551.07 15.26 7.87 0.29  
貝萊德環球動態趨勢多元資產組合證券投資信託基金 A 月配 (人民幣)BlackRock Glo Dnm Trds Multi-Asset FOFs A RMB Dis2.064.9514.1214.5640.4546.82 11.89 7.95 0.4  
貝萊德環球動態趨勢多元資產組合證券投資信託基金 N 月配 (新台幣)BlackRock Glo Dnm Trds Multi-Asset FOFs N TWD Dis3.089.1511.8910.1737.1244.11 8.1 7.94 0.39  
貝萊德環球動態趨勢多元資產組合證券投資信託基金 N 月配 (美元)BlackRock Glo Dnm Trds Multi-Asset FOFs N USD Dis2.156.2616.514.7744.651.07 15.26 7.84 0.29  
貝萊德環球動態趨勢多元資產組合證券投資信託基金 N 月配 (人民幣)BlackRock Glo Dnm Trds Multi-Asset FOFs N RMB Dis2.064.9514.1214.5640.4546.82 11.89 7.95 0.4  
合庫環境及社會責任多重資產證券投資信託基金NA類型(新台幣)TCB Environ & Socially Resp Mlt-Asst NA TWD000000 0 0 -11.4  
合庫環境及社會責任多重資產證券投資信託基金NA類型(美元)TCB Environ & Socially Resp Mlt-Asst NA USD000019.7913.2 0 8.73 -0.02  
PGIM保德信全球生態友善ESG多重資產證券投資信託基金-新臺幣累積型PGIM Global Eco-Friendly ESG Multi-Asset A TWD39.210.427.423130.97 4.89 8.86 0.24  
PGIM保德信全球生態友善ESG多重資產證券投資信託基金-新臺幣月配息型PGIM Global Eco-Friendly ESG Multi-Asset D TWD39.210.437.4431.0230.99 4.9 8.86 0.24  
PGIM保德信全球生態友善ESG多重資產證券投資信託基金-新臺幣N累積型PGIM Global Eco-Friendly ESG Multi-Asset AN TWD39.210.427.423130.97 4.88 8.86 0.24  
PGIM保德信全球生態友善ESG多重資產證券投資信託基金-新臺幣N月配息型PGIM Global Eco-Friendly ESG Multi-Asset DN TWD39.210.437.4431.0230.98 4.9 8.86 0.24  
PGIM保德信全球生態友善ESG多重資產證券投資信託基金-美元累積型PGIM Global Eco-Friendly ESG Multi-Asset A USD2.246.7814.5511.6438.4838.33 11.16 8.93 0.18  
PGIM保德信全球生態友善ESG多重資產證券投資信託基金-美元月配息型PGIM Global Eco-Friendly ESG Multi-Asset D USD2.246.7914.5511.6538.4938.34 11.17 8.92 0.18  
PGIM保德信全球生態友善ESG多重資產證券投資信託基金-美元N累積型PGIM Global Eco-Friendly ESG Multi-Asset AN USD2.246.7814.5511.6438.4838.33 11.16 8.93 0.18  
PGIM保德信全球生態友善ESG多重資產證券投資信託基金-美元N月配息型PGIM Global Eco-Friendly ESG Multi-Asset DN USD2.246.7914.5511.6538.538.34 11.17 8.92 0.18  
PGIM保德信全球生態友善ESG多重資產證券投資信託基金-人民幣累積型PGIM Global Eco-Friendly ESG Multi-Asset A CNY2.135.4512.1911.133.7131.75 7.91 8.89 0.23  
PGIM保德信全球生態友善ESG多重資產證券投資信託基金-人民幣月配息型PGIM Global Eco-Friendly ESG Multi-Asset D CNY2.135.4512.1911.133.7131.76 7.91 8.89 0.23  
PGIM保德信全球生態友善ESG多重資產證券投資信託基金-南非幣累積型PGIM Global Eco-Friendly ESG Multi-Asset A ZAR2.41713.9313.0740.5743.75 11.3 14.95 0.13  
PGIM保德信全球生態友善ESG多重資產證券投資信託基金-南非幣月配息型PGIM Global Eco-Friendly ESG Multi-Asset D ZAR2.47.0113.9313.0940.6143.73 11.31 14.96 0.13  
元大全球優質龍頭平衡證券投資信託基金 A類型 (新台幣)Yuanta Global Leaders Balanced Fund A TWD2.7314.2921.4625.165.2677.77 22.73 9.03 0.57  
元大全球優質龍頭平衡證券投資信託基金 I 類型 (新台幣)Yuanta Global Leaders Balanced Fund I TWD2.814.4721.7925.8166.980.32 23.29 9.05 0.59  
元大全球優質龍頭平衡證券投資信託基金 A類型 (美元)Yuanta Global Leaders Balanced Fund A USD1.8411.2426.4730.3874.2386.31 30.88 8.87 0.46  
元大全球優質龍頭平衡證券投資信託基金 I 類型 (美元)Yuanta Global Leaders Balanced Fund I USD1.8911.3926.8131.0775.9588.16 31.45 8.89 0.47  
路博邁收益成長多重資產證券投資信託基金R累積(新台幣)NB Bd-Plus Inc&Gr Mlt-Asst Cls Sec TWD R Acc2.669.3113.7510.3823.4227.11 9.7 6.64 0.28  
?豐ESG永續多元資產組合證券投資信託基金 不配息 N (新臺幣)HSBC ESG Sustainable Multi-Asset FOF NACHTWD00006.377.61 0 5.12 0.05  
?豐ESG永續多元資產組合證券投資信託基金 不配息 N (美元)HSBC ESG Sustainable Multi-Asset FOF NACHUSD000015.3118.27 0 7.07 0.04  
?豐ESG永續多元資產組合證券投資信託基金 不配息 N (人民幣)HSBC ESG Sustainable Multi-Asset FOF NACHRMB2.214.715.0812.2226.6528.36 12.13 7.11 0.27  
?豐ESG永續多元資產組合證券投資信託基金 月配息 N (新臺幣)HSBC ESG Sustainable Multi-Asset FOF NAPMTWD2.676.6813.759.2719.9716.23 9.56 6.84 0.15  
?豐ESG永續多元資產組合證券投資信託基金 月配息 N (美元)HSBC ESG Sustainable Multi-Asset FOF NAPMUSD2.345.7217.1113.7131.9733.81 14.74 6.63 0.18  
?豐ESG永續多元資產組合證券投資信託基金 月配息 N (人民幣)HSBC ESG Sustainable Multi-Asset FOF NAPMRMB1.773.3312.116.7314.8911.45 7.49 7.05 0.08  
宏利數位基礎設施多重資產證券投資信託基金 A類型 (新臺幣)Manulife Glo Digital Facilities Mlt-Asst A TWD0.412.53-2.68-3.4910.3310.49 -1.18 8.71 0.06  
宏利數位基礎設施多重資產證券投資信託基金 B類型 (新臺幣)Manulife Glo Digital Facilities Mlt-Asst B TWD0.382.53-1.99-2.5111.2811.51 -0.28 8.51 0.07  
宏利數位基礎設施多重資產證券投資信託基金 A類型 (美元)Manulife Glo Digital Facilities Mlt-Asst A USD-0.240.641.41.2217.8518.36 5.23 8.34 0.03  
宏利數位基礎設施多重資產證券投資信託基金 B類型 (美元)Manulife Glo Digital Facilities Mlt-Asst B USD-0.240.641.41.2217.8618.37 5.23 8.34 0.03  
宏利數位基礎設施多重資產證券投資信託基金 A類型 (人民幣避險)Manulife Glo Digital Facilities Mlt-Asst A RMB-H-0.5-0.11-0.06-1.211.428.14 3.21 10.68 0.03  
宏利數位基礎設施多重資產證券投資信託基金 B類型 (人民幣避險)Manulife Glo Digital Facilities Mlt-Asst B RMB-H-0.47-0.08-0.05-1.4811.267.92 3.15 10.62 0.03  
宏利數位基礎設施多重資產證券投資信託基金 B類型 (南非幣避險)Manulife Glo Digital Facilities Mlt-Asst B ZAR-H0.011.573.165.6927.6229.52 9.68 15.32 0.03  
宏利數位基礎設施多重資產證券投資信託基金 B類型 (澳幣避險)Manulife Glo Digital Facilities Mlt-Asst B AUD-H-0.310.420.771.216.111.53 4.66 13.95 -0.01  
宏利數位基礎設施多重資產證券投資信託基金 NA類型 (新臺幣)Manulife Glo Digital Facilities Mlt-Asst NA TWD0.362.49-1.87-2.3811.2611.77 -0.09 8.5 0.07  
宏利數位基礎設施多重資產證券投資信託基金 NB類型 (新臺幣)Manulife Glo Digital Facilities Mlt-Asst NB TWD0.362.5-1.97-2.5510.9211.17 -0.26 8.55 0.07  
宏利數位基礎設施多重資產證券投資信託基金 NA類型 (美元)Manulife Glo Digital Facilities Mlt-Asst NA USD-0.240.641.41.2217.8518.36 5.22 8.34 0.03  
宏利數位基礎設施多重資產證券投資信託基金 NB類型 (美元)Manulife Glo Digital Facilities Mlt-Asst NB USD-0.240.641.41.2217.8618.37 5.23 8.34 0.03  
宏利數位基礎設施多重資產證券投資信託基金 NA類型 (人民幣避險)Manulife Glo Digital Facilities Mlt-Asst NA RMB-H-0.480.080.21-1.1611.879.49 3.66 10.44 0.04  
宏利數位基礎設施多重資產證券投資信託基金 NB類型 (人民幣避險)Manulife Glo Digital Facilities Mlt-Asst NB RMB-H-0.480.030.17-1.0512.059.31 3.54 10.51 0.04  
宏利數位基礎設施多重資產證券投資信託基金 NB類型 (南非幣避險)Manulife Glo Digital Facilities Mlt-Asst NB ZAR-H0.041.783.41626.9529.24 9.82 15.24 0.03  
宏利數位基礎設施多重資產證券投資信託基金 NB類型 (澳幣避險)Manulife Glo Digital Facilities Mlt-Asst NB AUD-H-0.290.510.810.2915.4412.6 4.71 14.46 0  
鋒裕匯理先進醫療科技多重資產證券投資信託基金 A2 新臺幣Amundi TW - Advanced MedTech Multi Asset A2 TWD2.664.24-2.69-0.9417.4815.48 -2.12 10.04 0.09  
鋒裕匯理先進醫療科技多重資產證券投資信託基金 N2 新臺幣Amundi TW - Advanced MedTech Multi Asset N2 TWD2.764.24-2.69-0.9417.4815.48 -2.12 10.02 0.09  
鋒裕匯理先進醫療科技多重資產證券投資信託基金 AD 新臺幣Amundi TW - Advanced MedTech Multi Asset AD TWD2.744.28-2.69-0.9617.5615.5 -2.03 10.06 0.09  
鋒裕匯理先進醫療科技多重資產證券投資信託基金 ND 新臺幣Amundi TW - Advanced MedTech Multi Asset ND TWD2.744.28-2.69-0.9617.5615.5 -2.03 10.07 0.09  
鋒裕匯理先進醫療科技多重資產證券投資信託基金 A2 美元Amundi TW - Advanced MedTech Multi Asset A2 USD1.771.431.343.1623.8721.02 4.4 10.04 0.05  
鋒裕匯理先進醫療科技多重資產證券投資信託基金 N2 美元Amundi TW - Advanced MedTech Multi Asset N2 USD1.771.431.343.1623.8721.02 4.4 10.04 0.05  
鋒裕匯理先進醫療科技多重資產證券投資信託基金 AD 美元Amundi TW - Advanced MedTech Multi Asset AD USD1.721.351.243.123.8520.87 4.29 10.04 0.05  
鋒裕匯理先進醫療科技多重資產證券投資信託基金 ND 美元Amundi TW - Advanced MedTech Multi Asset ND USD1.721.451.343.1923.8320.97 4.38 10.01 0.05  
鋒裕匯理先進醫療科技多重資產證券投資信託基金 A2 人民幣Amundi TW - Advanced MedTech Multi Asset A2 CNH1.460.63-0.270.4516.8410.56 2.12 11.64 0.05  
鋒裕匯理先進醫療科技多重資產證券投資信託基金 N2 人民幣Amundi TW - Advanced MedTech Multi Asset N2 CNH1.550.63-0.270.4516.710.66 2.02 11.74 0.05  
鋒裕匯理先進醫療科技多重資產證券投資信託基金 AD 人民幣Amundi TW - Advanced MedTech Multi Asset AD CNH1.510.58-0.390.216.5610.43 1.93 11.7 0.05  
鋒裕匯理先進醫療科技多重資產證券投資信託基金 ND 人民幣Amundi TW - Advanced MedTech Multi Asset ND CNH1.510.68-0.280.416.910.65 2.03 11.67 0.05  
鋒裕匯理先進醫療科技多重資產證券投資信託基金 A2 澳幣Amundi TW - Advanced MedTech Multi Asset A2 AUD1.761.41.053.5822.8515.6 5 15.06 0.02  
鋒裕匯理先進醫療科技多重資產證券投資信託基金 N2 澳幣Amundi TW - Advanced MedTech Multi Asset N2 AUD1.691.150.792.2320.2514.6 3.62 14.85 0.01  
鋒裕匯理先進醫療科技多重資產證券投資信託基金 AD 澳幣Amundi TW - Advanced MedTech Multi Asset AD AUD1.691.260.892.0519.9313.74 3.39 14.94 0.01  
鋒裕匯理先進醫療科技多重資產證券投資信託基金 ND 澳幣Amundi TW - Advanced MedTech Multi Asset ND AUD1.561.060.62220.4615.82 3.3 14.75 0.02  
鋒裕匯理先進醫療科技多重資產證券投資信託基金 A2 南非幣Amundi TW - Advanced MedTech Multi Asset A2 ZAR1.941.852.275.9535.48  6.67      
鋒裕匯理先進醫療科技多重資產證券投資信託基金 N2 南非幣Amundi TW - Advanced MedTech Multi Asset N2 ZAR1.961.872.14-5.7716.62  -4.75      
鋒裕匯理先進醫療科技多重資產證券投資信託基金 AD 南非幣Amundi TW - Advanced MedTech Multi Asset AD ZAR1.912.422.675.7230.33  6.81      
鋒裕匯理先進醫療科技多重資產證券投資信託基金 ND 南非幣Amundi TW - Advanced MedTech Multi Asset ND ZAR1.911.922.096.3629.61  7.04      
凱基未來樂活多重資產證券投資信託基金 A 不配息 (新臺幣)KGI LOHAS Multi-Asset Fund A TWD2.1410.4118.0520.548.3640.91 16.25 8.64 0.33  
凱基未來樂活多重資產證券投資信託基金 B 月配 (新臺幣)KGI LOHAS Multi-Asset Fund B TWD2.1410.4118.0520.5148.3740.92 16.27 8.64 0.33  
凱基未來樂活多重資產證券投資信託基金 NA 不配息 (新臺幣)KGI LOHAS Multi-Asset Fund NA TWD2.1410.4118.0420.4948.3640.9 16.25 8.64 0.33  
凱基未來樂活多重資產證券投資信託基金 NB 月配 (新臺幣)KGI LOHAS Multi-Asset Fund NB TWD2.1410.4118.0520.5148.3740.92 16.27 8.64 0.33  
凱基未來樂活多重資產證券投資信託基金 A 不配息 (美元)KGI LOHAS Multi-Asset Fund A USD1.919.7120.9424.2157.1755.81 20.72 8.88 0.32  
凱基未來樂活多重資產證券投資信託基金 B 月配 (美元)KGI LOHAS Multi-Asset Fund B USD1.919.720.8724.357.5256.22 20.76 8.87 0.33  
凱基未來樂活多重資產證券投資信託基金 NA 不配息 (美元)KGI LOHAS Multi-Asset Fund NA USD3.126.184.777.5836.0734.84 4.57 10 0.16  
凱基未來樂活多重資產證券投資信託基金 NB 月配 (美元)KGI LOHAS Multi-Asset Fund NB USD1.899.6520.7724.157.2855.98 20.6 8.87 0.32  
凱基未來樂活多重資產證券投資信託基金 A 不配息 (人民幣)KGI LOHAS Multi-Asset Fund A CNY1.748.691922.6950.8245.12 17.98 9.2 0.36  
凱基未來樂活多重資產證券投資信託基金 B 月配 (人民幣)KGI LOHAS Multi-Asset Fund B CNY1.758.71922.750.8245.12 17.98 9.2 0.36  
凱基未來樂活多重資產證券投資信託基金 NA 不配息 (人民幣)KGI LOHAS Multi-Asset Fund NA CNY0.972.9917.5219.2735.9929 15.54 8.76 0.2  
凱基未來樂活多重資產證券投資信託基金 NB 月配 (人民幣)KGI LOHAS Multi-Asset Fund NB CNY1.758.71922.750.8245.12 17.98 9.2 0.36  
凱基未來樂活多重資產證券投資信託基金 A 不配息 (南非幣)KGI LOHAS Multi-Asset Fund A ZAR2.217.7418.2924.8559.8558.74 18.53 12.63 0.25  
凱基未來樂活多重資產證券投資信託基金 B 月配 (南非幣)KGI LOHAS Multi-Asset Fund B ZAR2.217.7518.2824.8959.8758.78 18.57 12.63 0.25  
凱基未來樂活多重資產證券投資信託基金 NB 月配 (南非幣)KGI LOHAS Multi-Asset Fund NB ZAR2.227.7518.2824.8859.8658.77 18.57 12.62 0.25  
富邦台美雙星多重資產證券投資信託基金 A類型 (新臺幣)Fubon Taiwan-U.S. Twinstar Multi-Asset A TWD7.7215.824.114.6554.89  12.54      
富邦台美雙星多重資產證券投資信託基金 NA類型 (新臺幣)Fubon Taiwan-U.S. Twinstar Multi-Asset NA TWD7.7215.824.114.6554.89  12.54      
富邦台美雙星多重資產證券投資信託基金 B類型 (新臺幣)Fubon Taiwan-U.S. Twinstar Multi-Asset B TWD7.7215.7924.0714.6454.87  12.52      
富邦台美雙星多重資產證券投資信託基金 NB類型 (新臺幣)Fubon Taiwan-U.S. Twinstar Multi-Asset NB TWD7.7215.7924.0714.6454.87  12.52      
富邦台美雙星多重資產證券投資信託基金 A類型 (人民幣)Fubon Taiwan-U.S. Twinstar Multi-Asset A CNY6.6511.3126.619.3858.43  16.45      
富邦台美雙星多重資產證券投資信託基金 NA類型 (人民幣)Fubon Taiwan-U.S. Twinstar Multi-Asset NA CNY6.6511.3126.619.3858.43  16.45      
富邦台美雙星多重資產證券投資信託基金 B類型 (人民幣)Fubon Taiwan-U.S. Twinstar Multi-Asset B CNY6.6511.326.5719.3958.43  16.45      
富邦台美雙星多重資產證券投資信託基金 NB類型 (人民幣)Fubon Taiwan-U.S. Twinstar Multi-Asset NB CNY6.6511.326.5719.3958.43  16.45      
富邦台美雙星多重資產證券投資信託基金 A類型 (美元)Fubon Taiwan-U.S. Twinstar Multi-Asset A USD6.7412.6629.2119.4363.3  19.98      
富邦台美雙星多重資產證券投資信託基金 NA類型 (美元)Fubon Taiwan-U.S. Twinstar Multi-Asset NA USD6.7412.6629.2119.4363.3  19.98      
富邦台美雙星多重資產證券投資信託基金 B類型 (美元)Fubon Taiwan-U.S. Twinstar Multi-Asset B USD6.7312.6529.1919.4363.3  19.95      
富邦台美雙星多重資產證券投資信託基金 NB類型 (美元)Fubon Taiwan-U.S. Twinstar Multi-Asset NB USD6.7312.6529.1919.4363.3  19.95      
瑞銀全球永續組合證券投資信託基金 A類型(累積)(新台幣)UBS (TW) Multi Asset Risk Control Sust (TWD) A1.855.137.473.3320.78  3.42      
瑞銀全球永續組合證券投資信託基金 B類型(月配息)(新台幣)UBS (TW) Multi Asset Risk Control Sust (TWD) B1.745.097.463.3720.68  3.36      
瑞銀全球永續組合證券投資信託基金 NB類型(月配息)(新台幣)UBS (TW) Multi Asset Risk Control Sust (TWD) NB1.745.097.363.2720.68  3.36      
瑞銀全球永續組合證券投資信託基金 A類型(累積)(美元)UBS (TW) Multi Asset Risk Control Sust (USD) A1.774.4210.817.2228.1  8.27      
瑞銀全球永續組合證券投資信託基金 B類型(月配息)(美元)UBS (TW) Multi Asset Risk Control Sust (USD) B1.794.4810.987.3328.23  8.33      
瑞銀全球永續組合證券投資信託基金 NB類型(月配息)(美元)UBS (TW) Multi Asset Risk Control Sust (USD) NB1.794.410.897.2428.15  8.24      
瑞銀全球永續組合證券投資信託基金 A類型(累積)(人民幣)UBS (TW) Multi Asset Risk Control Sust (CNH) A1.643.348.885.9923.41  5.63      
瑞銀全球永續組合證券投資信託基金 B類型(月配息)(人民幣)UBS (TW) Multi Asset Risk Control Sust (CNH) B1.63.368.895.9923.43  5.68      
瑞銀全球永續組合證券投資信託基金 NB類型(月配息)(人民幣)UBS (TW) Multi Asset Risk Control Sust (CNH) NB1.63.368.9623.33  5.59      
瑞銀全球永續組合證券投資信託基金 A類型(累積)(南非幣)UBS (TW) Multi Asset Risk Control Sust (ZAR) A2.033.519.798.330.48  7.78      
瑞銀全球永續組合證券投資信託基金 B類型(月配息)(南非幣)UBS (TW) Multi Asset Risk Control Sust (ZAR) B2.093.549.848.2730.64  7.77      
瑞銀全球永續組合證券投資信託基金 NB類型(月配息)(南非幣)UBS (TW) Multi Asset Risk Control Sust (ZAR) NB1.993.549.848.2730.64  7.77      
富邦台灣多重資產證券投資信託基金Fubon Taiwan Multi-Asset Fund-0.163.164.21.0616.43  1.81      
富達趨勢收益傘型證券投資信託基金之富達智慧醫療多重資產收益證券投資信託基金 N 月配息 (新臺幣)Fidelity (TW) Mdc Innvt Mlt Inc N-MCDIST(G)-TWD00000  0      
富達趨勢收益傘型證券投資信託基金之富達智慧醫療多重資產收益證券投資信託基金 N 月配息 (美元)Fidelity (TW) Mdc Innvt Mlt Inc N-MCDIST(G)-USD00000  0      
富達趨勢收益傘型證券投資信託基金之富達未來通訊多重資產收益證券投資信託基金 N 月配息 (新臺幣)Fidelity (TW) Fut Connct Mlt Inc N-MCDIST(G)-TWD00000  0      
富達趨勢收益傘型證券投資信託基金之富達未來通訊多重資產收益證券投資信託基金 N 月配息 (美元)Fidelity (TW) Fut Connct Mlt Inc N-MCDIST(G)-USD00000  0      
野村環球時機多重資產證券投資信託基金 累積 (新臺幣)Nomura Next Generation Multi-Asset Acc TWD2.127.749.557.5824.05  6.76      
野村環球時機多重資產證券投資信託基金 月配 (新臺幣)Nomura Next Generation Multi-Asset Div TWD2.17.679.677.724.23  6.95      
野村環球時機多重資產證券投資信託基金 N 累積 (新臺幣)Nomura Next Generation Multi-Asset N Acc TWD2.17.689.657.6924.27  6.93      
野村環球時機多重資產證券投資信託基金 N 月配 (新臺幣)Nomura Next Generation Multi-Asset N Div TWD2.097.669.677.724.28  6.95      
野村環球時機多重資產證券投資信託基金 S (新臺幣)Nomura Next Generation Multi-Asset S TWD00000  0      
野村環球時機多重資產證券投資信託基金 累積 (美元)Nomura Next Generation Multi-Asset Acc USD1.435.5513.2511.631.35  12.5      
野村環球時機多重資產證券投資信託基金 月配 (美元)Nomura Next Generation Multi-Asset Div USD1.435.5613.2511.6231.38  12.5      
野村環球時機多重資產證券投資信託基金 N 累積 (美元)Nomura Next Generation Multi-Asset N Acc USD1.455.5913.2811.9631.85  12.53      
野村環球時機多重資產證券投資信託基金 N 月配 (美元)Nomura Next Generation Multi-Asset N Div USD1.435.5513.2511.5931.39  12.5      
中國信託ESG金融收益多重資產證券投資信託基金 A類型 (新台幣)CTBC ESG Financial Multi-Asset Fund A TWD-0.512.35-2.08-0.4210.79  -2.98      
中國信託ESG金融收益多重資產證券投資信託基金 B類型 (新台幣)CTBC ESG Financial Multi-Asset Fund B TWD-0.512.35-2.08-0.4210.79  -2.97      
中國信託ESG金融收益多重資產證券投資信託基金 NB類型 (新台幣)CTBC ESG Financial Multi-Asset Fund NB TWD-0.512.35-2.08-0.4210.79  -2.97      
中國信託ESG金融收益多重資產證券投資信託基金 A類型 (美元)CTBC ESG Financial Multi-Asset Fund A USD-1.39-0.352.033.8117.04  3.51      
中國信託ESG金融收益多重資產證券投資信託基金 B類型 (美元)CTBC ESG Financial Multi-Asset Fund B USD-1.39-0.352.033.8117.04  3.52      
中國信託ESG金融收益多重資產證券投資信託基金 NB類型 (美元)CTBC ESG Financial Multi-Asset Fund NB USD-1.39-0.352.033.8117.04  3.51      
瀚亞理財通證券投資信託基金 B類型 (新台幣)Eastspring Investments Balance Fund B TWD5.0310.1821.7614.2937.37  12.22      
新光全球多重資產證券投資信託基金 A類型(新臺幣)Shin Kong Global Multi Asset Fund A TWD3.489.2210.057.2621.18  6.86      
新光全球多重資產證券投資信託基金 B類型(新臺幣)Shin Kong Global Multi Asset Fund B TWD3.489.2210.057.2621.17  6.86      
新光全球多重資產證券投資信託基金 NA類型(新臺幣)Shin Kong Global Multi Asset Fund NA TWD3.489.2210.057.2521.16  6.85      
新光全球多重資產證券投資信託基金 NB類型(新臺幣)Shin Kong Global Multi Asset Fund NB TWD3.489.2110.037.2421.17  6.85      
新光全球多重資產證券投資信託基金 A類型(美元)Shin Kong Global Multi Asset Fund A USD2.576.1814.4711.7427.72  14.01      
新光全球多重資產證券投資信託基金 B類型(美元)Shin Kong Global Multi Asset Fund B USD2.566.1714.4611.7127.73  13.99      
新光全球多重資產證券投資信託基金 NA類型(美元)Shin Kong Global Multi Asset Fund NA USD2.576.1813.7411.7127.71  13.98      
新光全球多重資產證券投資信託基金 NB類型(美元)Shin Kong Global Multi Asset Fund NB USD2.566.1614.4311.6627.59  13.93      
安聯四季雙收入息組合證券投資信託基金 B1類型 (新臺幣)Allianz Global Investors All Ssn Dbl Inc FoF B1TWD3.1310.411.868.4530.18  5.96      
安聯四季雙收入息組合證券投資信託基金 B1類型 (美元)Allianz Global Investors All Ssn Dbl Inc FoF B1USD2.23             
兆豐日本優勢多重資產證券投資信託基金 (累積) 新臺幣Mega Japan Advantage Multi-Asset Fund TWD Acc16.2423.6140.2752.2788.96  41.51      
兆豐日本優勢多重資產證券投資信託基金 (配息) 新臺幣Mega Japan Advantage Multi-Asset Fund TWD Dis16.2423.6140.2652.2388.9  41.49      
兆豐日本優勢多重資產證券投資信託基金 (累積) 美元Mega Japan Advantage Multi-Asset Fund USD Acc15.1920.2345.9758.3898.85  50.42      
兆豐日本優勢多重資產證券投資信託基金 (配息) 美元Mega Japan Advantage Multi-Asset Fund USD Dis15.1920.2345.9558.3498.79  50.41      
兆豐日本優勢多重資產證券投資信託基金 (累積) 日圓Mega Japan Advantage Multi-Asset Fund JPY Acc15.4420.4846.2958.9599.89  50.86      
兆豐日本優勢多重資產證券投資信託基金 (配息) 日圓Mega Japan Advantage Multi-Asset Fund JPY Dis15.4320.4846.2758.9199.82  50.83      
柏瑞利率對策多重資產證券投資信託基金 A類型PineBridge Rate Response Multi-Asset Fund A TWD1.565.965.173.5320.7  2      
柏瑞利率對策多重資產證券投資信託基金 B類型PineBridge Rate Response Multi-Asset Fund B TWD1.565.975.193.5520.7  2.02      
柏瑞利率對策多重資產證券投資信託基金 N類型PineBridge Rate Response Multi-Asset Fund N TWD1.565.965.193.5520.7  2.02      
柏瑞利率對策多重資產證券投資信託基金 N9類型PineBridge Rate Response Multi-Asset Fund N9 TWD1.565.965.173.5320.69  2      
柏瑞利率對策多重資產證券投資信託基金 A類型(澳幣)PineBridge Rate Response Multi-Asset Fund A AUD0.993.948.967.7225.24  7.49      
柏瑞利率對策多重資產證券投資信託基金 B類型(澳幣)PineBridge Rate Response Multi-Asset Fund B AUD0.993.948.987.7525.27  7.52      
柏瑞利率對策多重資產證券投資信託基金 N類型(澳幣)PineBridge Rate Response Multi-Asset Fund N AUD0.993.958.987.7525.27  7.53      
柏瑞利率對策多重資產證券投資信託基金 N9類型(澳幣)PineBridge Rate Response Multi-Asset Fund N9 AUD0.993.948.967.7225.23  7.49      
柏瑞利率對策多重資產證券投資信託基金 A類型(人民幣)PineBridge Rate Response Multi-Asset Fund A CNY0.773.227.855.6621.54  5.95      
柏瑞利率對策多重資產證券投資信託基金 B類型(人民幣)PineBridge Rate Response Multi-Asset Fund B CNY0.773.227.875.6921.57  5.97      
柏瑞利率對策多重資產證券投資信託基金 N類型(人民幣)PineBridge Rate Response Multi-Asset Fund N CNY0.773.227.875.6921.57  5.97      
柏瑞利率對策多重資產證券投資信託基金 N9類型(人民幣)PineBridge Rate Response Multi-Asset Fund N9 CNY0.773.227.855.6621.55  5.95      
柏瑞利率對策多重資產證券投資信託基金 A類型(美元)PineBridge Rate Response Multi-Asset Fund A USD0.964.039.558.0728.11  8.48      
柏瑞利率對策多重資產證券投資信託基金 B類型(美元)PineBridge Rate Response Multi-Asset Fund B USD0.964.039.588.0928.11  8.5      
柏瑞利率對策多重資產證券投資信託基金 N類型(美元)PineBridge Rate Response Multi-Asset Fund N USD0.954.029.578.0928.12  8.5      
柏瑞利率對策多重資產證券投資信託基金 N9類型(美元)PineBridge Rate Response Multi-Asset Fund N9 USD0.964.029.558.0728.1  8.48      
柏瑞利率對策多重資產證券投資信託基金 I類型(美元)PineBridge Rate Response Multi-Asset Fund I USD1.024.229.978.8830.04  9.16      
柏瑞多重資產特別收益證券投資信託基金 A類型 (日幣)PineBridge Multi-Income Fund A JPY-0.041.063.910.948.14  1.92      
柏瑞多重資產特別收益證券投資信託基金 B類型 (日幣)PineBridge Multi-Income Fund B JPY-0.041.063.920.948.14  1.93      
柏瑞多重資產特別收益證券投資信託基金 N類型 (日幣)PineBridge Multi-Income Fund N JPY-0.041.063.920.948.14  1.93      
柏瑞多重資產特別收益證券投資信託基金 N9類型 (日幣)PineBridge Multi-Income Fund N9 JPY-0.041.063.910.948.14  1.92      
聯邦臺灣精選收益多重資產證券投資信託基金 A類型 (新臺幣)Union Taiwan Best Selection Multi-Asset A (TWD)3.215.6413.687.3630.32  6.81      
聯邦臺灣精選收益多重資產證券投資信託基金 B類型 (新臺幣)Union Taiwan Best Selection Multi-Asset B (TWD)3.175.6413.777.4430.42  6.86      
聯邦臺灣精選收益多重資產證券投資信託基金 NA類型 (新臺幣)Union Taiwan Best Selection Multi-Asset NA (TWD)3.215.6413.687.3630.32  6.81      
聯邦臺灣精選收益多重資產證券投資信託基金 ND類型 (新臺幣)Union Taiwan Best Selection Multi-Asset ND (TWD)3.175.6313.777.4430.42  6.77      
野村策略轉機多重資產證券投資信託基金 累積 (新臺幣)Nomura Convertible Bond Multi-Asset Acc TWD2.9311.9915.7512.1125.67  12.74      
野村策略轉機多重資產證券投資信託基金 月配 (新臺幣)Nomura Convertible Bond Multi-Asset Div TWD2.9311.9915.7512.1125.67  12.74      
野村策略轉機多重資產證券投資信託基金 N 累積 (新臺幣)Nomura Convertible Bond Multi-Asset N Acc TWD2.8811.8615.8912.2925.86  12.97      
野村策略轉機多重資產證券投資信託基金 N 月配 (新臺幣)Nomura Convertible Bond Multi-Asset N Div TWD2.9111.915.8912.2425.82  12.96      
野村策略轉機多重資產證券投資信託基金 S (新臺幣)Nomura Convertible Bond Multi-Asset S TWD00000  0      
野村策略轉機多重資產證券投資信託基金 累積 (美元)Nomura Convertible Bond Multi-Asset Acc USD2.349.9919.716.4430.75  18.17      
野村策略轉機多重資產證券投資信託基金 月配 (美元)Nomura Convertible Bond Multi-Asset Div USD2.349.9919.716.4430.75  18.17      
野村策略轉機多重資產證券投資信託基金 N 累積 (美元)Nomura Convertible Bond Multi-Asset N Acc USD2.349.9819.6916.4330.76  18.17      
野村策略轉機多重資產證券投資信託基金 N 月配 (美元)Nomura Convertible Bond Multi-Asset N Div USD2.349.9819.716.4230.74  18.17      
野村策略轉機多重資產證券投資信託基金 月配 (人民幣)Nomura Convertible Bond Multi-Asset Div CNY2.239.1917.7813.3923.77  15.69      
野村策略轉機多重資產證券投資信託基金 N 月配 (人民幣)Nomura Convertible Bond Multi-Asset N Div CNY2.239.217.8213.423.81  15.75      
元大新東協平衡證券投資信託基金 (人民幣)Yuanta New ASEAN Balanced Fund CNY1.965.2310.8414.0930.85  10.94      
兆豐萬全證券投資信託基金 RMega Balanced Fund R10.9821.9636.7910.533.95  9.85      
凱基實質收息多重資產證券投資信託基金 A 不配息 (新臺幣)KGI Real Assets Multi-Asset Fund A TWD-1.912.062.611.1120.33  4.82      
凱基實質收息多重資產證券投資信託基金 B月配 (新臺幣)KGI Real Assets Multi-Asset Fund B TWD-1.912.072.621.120.34  4.82      
凱基實質收息多重資產證券投資信託基金 NA不配息 (新臺幣)KGI Real Assets Multi-Asset Fund NA TWD-1.912.062.611.1120.34  4.82      
凱基實質收息多重資產證券投資信託基金 NB月配 (新臺幣)KGI Real Assets Multi-Asset Fund NB TWD-1.912.072.621.120.34  4.82      
凱基實質收息多重資產證券投資信託基金 A不配息 (美元)KGI Real Assets Multi-Asset Fund A USD-1.812.224.844.6727.46  8.35      
凱基實質收息多重資產證券投資信託基金 B月配 (美元)KGI Real Assets Multi-Asset Fund B USD-1.822.24.84.6227.4  8.29      
凱基實質收息多重資產證券投資信託基金 NA不配息 (美元)KGI Real Assets Multi-Asset Fund NA USD-1.33-1.43-2.61-2.7918.37  0.65      
凱基實質收息多重資產證券投資信託基金 NB月配 (美元)KGI Real Assets Multi-Asset Fund NB USD-1.822.174.684.527.26  8.17      
凱基實質收息多重資產證券投資信託基金 A不配息(人民幣)KGI Real Assets Multi-Asset Fund A CNY-2.031.363.072.4721.25  6.03      
凱基實質收息多重資產證券投資信託基金 B月配(人民幣)KGI Real Assets Multi-Asset Fund B CNY-2.031.373.072.4721.25  6.02      
凱基實質收息多重資產證券投資信託基金 NA不配息(人民幣)KGI Real Assets Multi-Asset Fund NA CNY-2.031.363.072.4721.25  6.03      
凱基實質收息多重資產證券投資信託基金 NB月配 (人民幣)KGI Real Assets Multi-Asset Fund NB CNY-2.031.373.072.4621.25  6.02      
凱基實質收息多重資產證券投資信託基金 A不配息(南非幣)KGI Real Assets Multi-Asset Fund A ZAR-1.562.194.827.1131.39  9.79      
凱基實質收息多重資產證券投資信託基金 B月配(南非幣)KGI Real Assets Multi-Asset Fund B ZAR-1.562.24.827.1331.47  9.81      
凱基實質收息多重資產證券投資信託基金 NB月配(南非幣)KGI Real Assets Multi-Asset Fund NB ZAR-1.562.24.827.1331.46  9.81      
鋒裕匯理創新趨勢多重資產證券投資信託基金 A2 新臺幣Amundi TW - Innovation Trends Multi Asset A2 TWD3.948.4711.257.0939.96  3.54      
鋒裕匯理創新趨勢多重資產證券投資信託基金 N2 新臺幣Amundi TW - Innovation Trends Multi Asset N2 TWD3.868.3911.177.0139.85  3.46      
鋒裕匯理創新趨勢多重資產證券投資信託基金 AD 新臺幣Amundi TW - Innovation Trends Multi Asset AD TWD3.878.4311.287.0239.98  3.54      
鋒裕匯理創新趨勢多重資產證券投資信託基金 ND 新臺幣Amundi TW - Innovation Trends Multi Asset ND TWD3.958.4311.287.0239.98  3.54      
鋒裕匯理創新趨勢多重資產證券投資信託基金 A2 美元Amundi TW - Innovation Trends Multi Asset A2 USD2.965.5415.8211.5547.66  10.4      
鋒裕匯理創新趨勢多重資產證券投資信託基金 N2 美元Amundi TW - Innovation Trends Multi Asset N2 USD2.965.5415.8211.5547.66  10.4      
鋒裕匯理創新趨勢多重資產證券投資信託基金 AD 美元Amundi TW - Innovation Trends Multi Asset AD USD2.955.5515.8611.5247.66  10.37      
鋒裕匯理創新趨勢多重資產證券投資信託基金 ND 美元Amundi TW - Innovation Trends Multi Asset ND USD2.955.5515.8611.5247.66  10.37      
鋒裕匯理創新趨勢多重資產證券投資信託基金 A2 人民幣Amundi TW - Innovation Trends Multi Asset A2 CNH2.674.6413.948.4638.85  7.74      
鋒裕匯理創新趨勢多重資產證券投資信託基金 N2 人民幣Amundi TW - Innovation Trends Multi Asset N2 CNH2.694.7514.048.1538  7.97      
鋒裕匯理創新趨勢多重資產證券投資信託基金 AD 人民幣Amundi TW - Innovation Trends Multi Asset AD CNH2.644.6713.98.5139  7.82      
鋒裕匯理創新趨勢多重資產證券投資信託基金 ND 人民幣Amundi TW - Innovation Trends Multi Asset ND CNH2.724.7613.998.5139.25  7.91      
中國信託成長轉機多重資產證券投資信託基金 A類型 (新台幣)CTBC Growth Opportunities Multi-Asset Fund A TWD5.3914.7923.8717.4439.84  12.62      
中國信託成長轉機多重資產證券投資信託基金 B類型 (新台幣)CTBC Growth Opportunities Multi-Asset Fund B TWD5.4614.8423.917.4739.87  12.64      
中國信託成長轉機多重資產證券投資信託基金 NB類型 (新台幣)CTBC Growth Opportunities Multi-Asset Fund NB TWD5.4614.8323.917.539.92  12.67      
中國信託成長轉機多重資產證券投資信託基金 A類型 (美元)CTBC Growth Opportunities Multi-Asset Fund A USD4.5611.9328.4422.0448.36  19.38      
中國信託成長轉機多重資產證券投資信託基金 B類型 (美元)CTBC Growth Opportunities Multi-Asset Fund B USD4.5611.9328.4422.0648.38  19.39      
中國信託成長轉機多重資產證券投資信託基金 NB類型 (美元)CTBC Growth Opportunities Multi-Asset Fund NB USD4.5611.9328.4422.0648.38  19.39      
群益優化收益成長多重資產證券投資信託基金 A類型 (新臺幣)Capital Enh Income And Growth Multi-Asset A TWD3.619.3611.733.3631.29  2.03      
群益優化收益成長多重資產證券投資信託基金 B類型 (新臺幣)Capital Enh Income And Growth Multi-Asset B TWD3.619.3611.733.3631.28  2.03      
群益優化收益成長多重資產證券投資信託基金 NA類型 (新臺幣)Capital Enh Income And Growth Multi-Asset NA TWD3.619.3611.733.3631.28  2.03      
群益優化收益成長多重資產證券投資信託基金 NB類型 (新臺幣)Capital Enh Income And Growth Multi-Asset NB TWD3.619.3611.733.3631.28  2.03      
群益優化收益成長多重資產證券投資信託基金 A類型 (美元)Capital Enh Income And Growth Multi-Asset A USD2.676.416.347.6838.44  8.77      
群益優化收益成長多重資產證券投資信託基金 B類型 (美元)Capital Enh Income And Growth Multi-Asset B USD2.676.416.347.6738.43  8.77      
群益優化收益成長多重資產證券投資信託基金 NA類型 (美元)Capital Enh Income And Growth Multi-Asset NA USD2.676.416.347.6738.43  8.77      
群益優化收益成長多重資產證券投資信託基金 NB類型 (美元)Capital Enh Income And Growth Multi-Asset NB USD2.676.416.347.6838.43  8.77      
柏瑞科技多重資產證券投資信託基金 A類型PineBridge Technology Multi-Asset Fund A TWD2.747.829.75.64   6.21      
柏瑞科技多重資產證券投資信託基金 B類型PineBridge Technology Multi-Asset Fund B TWD2.737.839.735.68   6.24      
柏瑞科技多重資產證券投資信託基金 N類型PineBridge Technology Multi-Asset Fund N TWD2.737.839.735.68   6.24      
柏瑞科技多重資產證券投資信託基金 N9類型PineBridge Technology Multi-Asset Fund N9 TWD2.747.819.75.64   6.21      
柏瑞科技多重資產證券投資信託基金 A類型(人民幣)PineBridge Technology Multi-Asset Fund A CNY1.98512.687.84   10.62      
柏瑞科技多重資產證券投資信託基金 B類型(人民幣)PineBridge Technology Multi-Asset Fund B CNY1.985.0112.727.89   10.67      
柏瑞科技多重資產證券投資信託基金 N類型(人民幣)PineBridge Technology Multi-Asset Fund N CNY1.985.0112.727.9   10.67      
柏瑞科技多重資產證券投資信託基金 N9類型(人民幣)PineBridge Technology Multi-Asset Fund N9 CNY1.984.9912.687.84   10.62      
柏瑞科技多重資產證券投資信託基金 B類型(日幣)PineBridge Technology Multi-Asset Fund B JPY4.317.2418.538.76   10.71      
柏瑞科技多重資產證券投資信託基金 N類型(日幣)PineBridge Technology Multi-Asset Fund N JPY4.317.2418.538.76   10.71      
柏瑞科技多重資產證券投資信託基金 A類型(美元)PineBridge Technology Multi-Asset Fund A USD2.175.8214.4610.45   13.27      
柏瑞科技多重資產證券投資信託基金 B類型(美元)PineBridge Technology Multi-Asset Fund B USD2.175.8314.510.5   13.32      
柏瑞科技多重資產證券投資信託基金 N類型(美元)PineBridge Technology Multi-Asset Fund N USD2.175.8314.510.5   13.32      
柏瑞科技多重資產證券投資信託基金 N9類型(美元)PineBridge Technology Multi-Asset Fund N9 USD2.175.8214.4610.45   13.27      
施羅德全週期成長多重資產證券投資信託基金 (人民幣) 配息Schroder All Cycle Growth Fund CNY Dis0.383.0411.6510.15   9.28      
第一金全球永續影響力投資多重資產證券投資信託基金 累積 (新臺幣)FSITC Global Sustainable Impact Inv MA A (TWD)1.695.48.385.29   7.23      
第一金全球永續影響力投資多重資產證券投資信託基金 配息 (新臺幣)FSITC Global Sustainable Impact Inv MA B (TWD)1.695.48.395.31   7.25      
第一金全球永續影響力投資多重資產證券投資信託基金 累積 (美元)FSITC Global Sustainable Impact Inv MA A (USD)0.993.212.579.56   13.8      
第一金全球永續影響力投資多重資產證券投資信託基金 配息 (美元)FSITC Global Sustainable Impact Inv MA B (USD)0.983.212.589.57   13.81      
路博邁ESG優選平衡證券投資信託基金 T累積(新臺幣)NB ESG Quality Select Balanced TWD T Acc2.156.16.973.88   3.06      
路博邁ESG優選平衡證券投資信託基金 T月配(新臺幣)NB ESG Quality Select Balanced TWD T (Monthly)2.196.167.023.92   3.14      
路博邁ESG優選平衡證券投資信託基金 N累積(新臺幣)NB ESG Quality Select Balanced TWD N Acc2.156.16.973.88   3.06      
路博邁ESG優選平衡證券投資信託基金 N月配(新臺幣)NB ESG Quality Select Balanced TWD N (Monthly)2.196.167.023.92   3.14      
路博邁ESG優選平衡證券投資信託基金 T累積(美元)NB ESG Quality Select Balanced USD T Acc1.493.9210.928.16   9.25      
路博邁ESG優選平衡證券投資信託基金 T月配(美元)NB ESG Quality Select Balanced USD T (Monthly)1.53.910.988.19   9.29      
路博邁ESG優選平衡證券投資信託基金 N累積(美元)NB ESG Quality Select Balanced USD N Acc1.493.8210.928.16   9.25      
路博邁ESG優選平衡證券投資信託基金 N月配(美元)NB ESG Quality Select Balanced USD N (Monthly)1.53.910.988.08   9.29      
鋒裕匯理CIO精選收益證券投資信託基金 A2 新臺幣Amundi TW -Signature CIO Income Fund A2 TWD1.356.23.293.2   2.17      
鋒裕匯理CIO精選收益證券投資信託基金 N2 新臺幣Amundi TW -Signature CIO Income Fund N2 TWD1.436.33.293.29   2.26      
鋒裕匯理CIO精選收益證券投資信託基金 AD 新臺幣Amundi TW -Signature CIO Income Fund AD TWD1.426.273.313.23   2.22      
鋒裕匯理CIO精選收益證券投資信託基金 ND 新臺幣Amundi TW -Signature CIO Income Fund ND TWD1.426.273.313.23   2.22      
鋒裕匯理CIO精選收益證券投資信託基金 A2 美元Amundi TW -Signature CIO Income Fund A2 USD0.523.417.667.66   8.99      
鋒裕匯理CIO精選收益證券投資信託基金 N2 美元Amundi TW -Signature CIO Income Fund N2 USD0.443.327.477.47   8.89      
鋒裕匯理CIO精選收益證券投資信託基金 AD 美元Amundi TW -Signature CIO Income Fund AD USD0.493.357.547.51   8.98      
鋒裕匯理CIO精選收益證券投資信託基金 ND 美元Amundi TW -Signature CIO Income Fund ND USD0.493.357.547.51   8.98      
鋒裕匯理CIO精選收益證券投資信託基金 A2 南非幣Amundi TW -Signature CIO Income Fund A2 ZAR0.5948.529.92   10.83      
鋒裕匯理CIO精選收益證券投資信託基金 N2 南非幣Amundi TW -Signature CIO Income Fund N2 ZAR0.593.928.649.84   10.76      
鋒裕匯理CIO精選收益證券投資信託基金 AD 南非幣Amundi TW -Signature CIO Income Fund AD ZAR0.594.098.669.54   10.53      
鋒裕匯理CIO精選收益證券投資信託基金 ND 南非幣Amundi TW -Signature CIO Income Fund ND ZAR0.693.988.649.85   10.62      
鋒裕匯理CIO精選收益證券投資信託基金 A2 人民幣Amundi TW -Signature CIO Income Fund A2 CNH0.272.635.74.69   6.42      
鋒裕匯理CIO精選收益證券投資信託基金 N2 人民幣Amundi TW -Signature CIO Income Fund N2 CNH0.182.625.794.78   6.5      
鋒裕匯理CIO精選收益證券投資信託基金 AD 人民幣Amundi TW -Signature CIO Income Fund AD CNH0.212.595.724.66   6.53      
鋒裕匯理CIO精選收益證券投資信託基金 ND 人民幣Amundi TW -Signature CIO Income Fund ND CNH0.212.585.824.87   6.52      
鋒裕匯理CIO精選收益證券投資信託基金 A2 澳幣Amundi TW -Signature CIO Income Fund A2 AUD0.282.295.735.73   5.73      
鋒裕匯理CIO精選收益證券投資信託基金 N2 澳幣Amundi TW -Signature CIO Income Fund N2 AUD0.362.975.735.12   6.54      
鋒裕匯理CIO精選收益證券投資信託基金 AD 澳幣Amundi TW -Signature CIO Income Fund AD AUD0.42.816.626.36   8.05      
鋒裕匯理CIO精選收益證券投資信託基金 ND 澳幣Amundi TW -Signature CIO Income Fund ND AUD0.42.916.826.36   8.03      
兆豐收益增長多重資產證券投資信託基金(累積) 新台幣Mega Income and Growth Multi-Asset Fund TWD Acc3.5210.0512.948.45   6.89      
兆豐收益增長多重資產證券投資信託基金(配息) 新台幣Mega Income and Growth Multi-Asset Fund TWD Dis3.4810.0112.968.44   6.84      
兆豐收益增長多重資產證券投資信託基金(累積) 後收 新台幣Mega Income and Growth Multi-Asset Fund TWD N Acc3.5210.0512.948.45   6.89      
兆豐收益增長多重資產證券投資信託基金(配息) 後收 新台幣Mega Income and Growth Multi-Asset Fund TWD N Dis3.4810.0112.968.44   6.84      
兆豐收益增長多重資產證券投資信託基金(累積) 美元Mega Income and Growth Multi-Asset Fund USD Acc2.637.2317.112.7   13.25      
兆豐收益增長多重資產證券投資信託基金(配息) 美元Mega Income and Growth Multi-Asset Fund USD Dis2.647.2917.0812.73   13.2      
兆豐收益增長多重資產證券投資信託基金(累積) 後收 美元Mega Income and Growth Multi-Asset Fund USD N Acc2.637.2317.112.7   13.25      
兆豐收益增長多重資產證券投資信託基金(配息) 後收 美元Mega Income and Growth Multi-Asset Fund USD N Dis2.647.2917.2112.73   13.21      
瀚亞多重收益優化組合證券投資信託基金B-日幣Eastspring Investments Optimal Inc Fd of Fds B JPY4.016.1316.1511.42   10.35      
路博邁ESG優選平衡證券投資信託基金 T累積(人民幣)NB ESG Quality Select Balanced CNY T Acc0000   0      
路博邁ESG優選平衡證券投資信託基金 T月配(人民幣)NB ESG Quality Select Balanced CNY T (Monthly)1.293.355.875.87   5.87      
路博邁ESG優選平衡證券投資信託基金 N累積(人民幣)NB ESG Quality Select Balanced CNY N Acc1.392.42.42.4   2.4      
路博邁ESG優選平衡證券投資信託基金 N月配(人民幣)NB ESG Quality Select Balanced CNY N (Monthly)1.283.329.267.52   7.52      
路博邁ESG優選平衡證券投資信託基金 T累積(澳幣)NB ESG Quality Select Balanced AUD T Acc0000   0      
路博邁ESG優選平衡證券投資信託基金 T月配(澳幣)NB ESG Quality Select Balanced AUD T (Monthly)0000   0      
路博邁ESG優選平衡證券投資信託基金 N累積(澳幣)NB ESG Quality Select Balanced AUD N Acc0000   0      
路博邁ESG優選平衡證券投資信託基金 N月配(澳幣)NB ESG Quality Select Balanced AUD N (Monthly)0000   0      
路博邁ESG優選平衡證券投資信託基金 T累積(南非幣)NB ESG Quality Select Balanced ZAR T Acc0000   0      
路博邁ESG優選平衡證券投資信託基金 T月配(南非幣)NB ESG Quality Select Balanced ZAR T (Monthly)0000   0      
路博邁ESG優選平衡證券投資信託基金 N累積(南非幣)NB ESG Quality Select Balanced ZAR N Acc0000   0      
路博邁ESG優選平衡證券投資信託基金 N月配(南非幣)NB ESG Quality Select Balanced ZAR N (Monthly)0000   0      
永豐創新醫療多重資產證券投資信託基金 累積類型 (新台幣)SinoPac Innovative Healthcare Mlt-Asst Acc TWD3.019.38-1.22-5.41   -3.91      
永豐創新醫療多重資產證券投資信託基金 月配類型 (新台幣)SinoPac Innovative Healthcare Mlt-Asst Dist TWD3.019.38-1.22-5.41   -3.91      
永豐創新醫療多重資產證券投資信託基金 N 累積類型 (新台幣)SinoPac Innovative Healthcare Mlt-Asst N Acc TWD3.019.38-1.22-5.41   -3.91      
永豐創新醫療多重資產證券投資信託基金 N 月配類型 (新台幣)SinoPac Innovative Healthcare Mlt-Asst N Dist TWD3.019.38-1.22-5.41   -3.91      
永豐創新醫療多重資產證券投資信託基金 累積類型 (美元)SinoPac Innovative Healthcare Mlt-Asst Acc USD2.076.412.86-1.46   2.46      
永豐創新醫療多重資產證券投資信託基金 月配類型 (美元)SinoPac Innovative Healthcare Mlt-Asst Dist USD2.076.412.86-1.46   2.45      
永豐創新醫療多重資產證券投資信託基金 N 累積類型 (美元)SinoPac Innovative Healthcare Mlt-Asst N Acc USD2.076.412.85-1.47   2.44      
永豐創新醫療多重資產證券投資信託基金 N 月配類型 (美元)SinoPac Innovative Healthcare Mlt-Asst N Dist USD2.076.422.85-1.46   2.45      
永豐創新醫療多重資產證券投資信託基金 累積類型 (人民幣)SinoPac Innovative Healthcare Mlt-Asst Acc CNY1.915.41.02-2.84   0.02      
永豐創新醫療多重資產證券投資信託基金 月配類型 (人民幣)SinoPac Innovative Healthcare Mlt-Asst Dist CNY1.895.390.44-3.31   -0.46      
永豐創新醫療多重資產證券投資信託基金 N 累積類型 (人民幣)SinoPac Innovative Healthcare Mlt-Asst N Acc CNY1.915.411.03-2.81   0.03      
永豐創新醫療多重資產證券投資信託基金 N 月配類型 (人民幣)SinoPac Innovative Healthcare Mlt-Asst N Dist CNY1.915.411.02-2.84   0.01      
永豐創新醫療多重資產證券投資信託基金 累積類型 (南非幣)SinoPac Innovative Healthcare Mlt-Asst Acc ZAR2.285.742.05-0.11   2.97      
永豐創新醫療多重資產證券投資信託基金 月配類型 (南非幣)SinoPac Innovative Healthcare Mlt-Asst Dist ZAR2.385.852.190.1   3.17      
永豐創新醫療多重資產證券投資信託基金 N 累積類型 (南非幣)SinoPac Innovative Healthcare Mlt-Asst N Acc ZAR2.235.72.01-0.09   2.98      
永豐創新醫療多重資產證券投資信託基金 N 月配類型 (南非幣)SinoPac Innovative Healthcare Mlt-Asst N Dist ZAR2.235.72.02-0.06   3      
?豐超核心多重資產證券投資信託基金 (新臺幣)HSBC Super Core Multi-Asset Fund A TWD2.958.558.878.48   7.43      
?豐超核心多重資產證券投資信託基金 (人民幣)HSBC Super Core Multi-Asset Fund A RMB1.774.811.6210.13   12.08      
?豐超核心多重資產證券投資信託基金 (美元)HSBC Super Core Multi-Asset Fund A USD2.015.613.3613   14.53      
?豐超核心多重資產證券投資信託基金 (澳幣)HSBC Super Core Multi-Asset Fund A AUD2.125.3312.7111.11   12.29      
?豐超核心多重資產證券投資信託基金 N (新臺幣)HSBC Super Core Multi-Asset Fund N TWD2.958.558.878.48   7.43      
?豐超核心多重資產證券投資信託基金 N (人民幣)HSBC Super Core Multi-Asset Fund N RMB1.774.811.6210.13   12.08      
?豐超核心多重資產證券投資信託基金 N (美元)HSBC Super Core Multi-Asset Fund N USD2.015.6113.3613   14.53      
?豐超核心多重資產證券投資信託基金 N (澳幣)HSBC Super Core Multi-Asset Fund N AUD2.125.3312.7111.11   12.29      
?豐超核心多重資產證券投資信託基金 月配型 AM1 (新臺幣)HSBC Super Core Multi-Asset Fund AM1TWD2.958.558.878.48   7.43      
?豐超核心多重資產證券投資信託基金 月配型 AM1 (美元)HSBC Super Core Multi-Asset Fund AM1USD2.015.6113.3613   14.53      
?豐超核心多重資產證券投資信託基金 月配型 AM1 (人民幣)HSBC Super Core Multi-Asset Fund AM1RMB1.774.811.6210.13   12.09      
?豐超核心多重資產證券投資信託基金 月配型 AM1 (澳幣)HSBC Super Core Multi-Asset Fund AM1AUD2.125.3312.7111.12   12.3      
?豐超核心多重資產證券投資信託基金 月配型 AM2 (新臺幣)HSBC Super Core Multi-Asset Fund AM2TWD2.958.558.878.48   7.43      
?豐超核心多重資產證券投資信託基金 月配型 AM2 (美元)HSBC Super Core Multi-Asset Fund AM2USD2.015.6113.3613   14.53      
?豐超核心多重資產證券投資信託基金 月配型 AM2 (人民幣)HSBC Super Core Multi-Asset Fund AM2RMB1.774.811.6210.13   12.08      
?豐超核心多重資產證券投資信託基金 月配型 AM2 (澳幣)HSBC Super Core Multi-Asset Fund AM2AUD2.125.3312.7111.11   12.29      
?豐超核心多重資產證券投資信託基金 月配型 NM2 (新臺幣)HSBC Super Core Multi-Asset Fund NM2TWD2.958.558.878.48   7.43      
?豐超核心多重資產證券投資信託基金 月配型 NM2 (美元)HSBC Super Core Multi-Asset Fund NM2USD2.015.6113.3613   14.53      
?豐超核心多重資產證券投資信託基金 月配型 NM2 (人民幣)HSBC Super Core Multi-Asset Fund NM2RMB1.774.811.6210.13   12.08      
?豐超核心多重資產證券投資信託基金 月配型 NM2 (澳幣)HSBC Super Core Multi-Asset Fund NM2AUD2.125.3312.7111.11   12.29      
合庫入息優化多重資產證券投資信託基金 A類型 (新台幣)TCB Diversified Income Multi-Asset Fund A TWD5.5913.4315.3113.89   15.31      
合庫入息優化多重資產證券投資信託基金 B類型 (新台幣)TCB Diversified Income Multi-Asset Fund B TWD5.6113.3715.2813.85   15.28      
合庫入息優化多重資產證券投資信託基金 NB類型 (新台幣)TCB Diversified Income Multi-Asset Fund NB TWD5.6113.2615.1713.75   15.29      
合庫入息優化多重資產證券投資信託基金 A類型 (美元)TCB Diversified Income Multi-Asset Fund A USD4.810.6920.719.86   23.69      
合庫入息優化多重資產證券投資信託基金 B類型 (美元)TCB Diversified Income Multi-Asset Fund B USD4.7410.5820.4219.65   23.49      
合庫入息優化多重資產證券投資信託基金 NB類型 (美元)TCB Diversified Income Multi-Asset Fund NB USD4.8310.5720.419.64   23.47      
野村全球科技多重資產證券投資信託基金 累積 (新臺幣)Nomura Global Technology Multi-Asset Acc TWD6.4915.5825.7812.36   9.12      
野村全球科技多重資產證券投資信託基金 月配 (新臺幣)Nomura Global Technology Multi-Asset Div TWD6.4915.5725.812.39   9.14      
野村全球科技多重資產證券投資信託基金 N 累積 (新臺幣)Nomura Global Technology Multi-Asset N Acc TWD6.4915.5725.8112.4   9.15      
野村全球科技多重資產證券投資信託基金 N 月配 (新臺幣)Nomura Global Technology Multi-Asset N Div TWD6.4915.5725.8112.39   9.15      
野村全球科技多重資產證券投資信託基金 累積 (美元)Nomura Global Technology Multi-Asset Acc USD5.7813.4329.6116.02   14.39      
野村全球科技多重資產證券投資信託基金 月配 (美元)Nomura Global Technology Multi-Asset Div USD5.813.4629.6316.04   14.42      
野村全球科技多重資產證券投資信託基金 N 累積 (美元)Nomura Global Technology Multi-Asset N Acc USD5.7713.4229.5916   14.38      
野村全球科技多重資產證券投資信託基金 N 月配 (美元)Nomura Global Technology Multi-Asset N Div USD5.7813.4329.5916   14.38      
野村全球科技多重資產證券投資信託基金 月配 (人民幣)Nomura Global Technology Multi-Asset Div CNY5.6812.2427.115.34   11.18      
野村全球科技多重資產證券投資信託基金 N 月配 (人民幣)Nomura Global Technology Multi-Asset N Div CNY5.6812.2427.1115.34   11.19      
野村全球科技多重資產證券投資信託基金 月配 (日幣)Nomura Global Technology Multi-Asset Div JPY8.9515.5236.0615.61   12.13      
野村全球科技多重資產證券投資信託基金 N 月配 (日幣)Nomura Global Technology Multi-Asset N Div JPY8.9515.5136.0615.61   12.12      
野村全球科技多重資產證券投資信託基金 S (新臺幣)Nomura Global Technology Multi-Asset S TWD000-12.61   -15.23      
聯邦金鑽平衡證券投資信託基金 NA類型 (新臺幣)Union Golden Balanced Fund NA (TWD)8.714.4233.1824.5   21.93      
安聯AI收益成長多重資產證券投資信託基金-A類型-新臺幣Allianz Gl Invr AI Income and Growth A TWD4.2510.9819.1114.79   10.57      
安聯AI收益成長多重資產證券投資信託基金-B類型-新臺幣Allianz Gl Invr AI Income and Growth B TWD4.2511.1319.0814.85   10.62      
安聯AI收益成長多重資產證券投資信託基金-N類型-新臺幣Allianz Gl Invr AI Income and Growth N TWD4.2511.1319.0814.85   10.63      
安聯AI收益成長多重資產證券投資信託基金-HA類型-新臺幣避險Allianz Gl Invr AI Income and Growth HA TWD-H3.187.5221.5615.48   14.16      
安聯AI收益成長多重資產證券投資信託基金-HB類型-新臺幣避險Allianz Gl Invr AI Income and Growth HB TWD-H3.177.5821.5815.48   14.18      
安聯AI收益成長多重資產證券投資信託基金-HN類型-新臺幣避險Allianz Gl Invr AI Income and Growth HN TWD-H3.177.5821.5815.48   14.18      
安聯AI收益成長多重資產證券投資信託基金-HA類型-人民幣避險Allianz Gl Invr AI Income and Growth HA CNY-H3.237.1422.1116.83   15.38      
安聯AI收益成長多重資產證券投資信託基金-HB類型-人民幣避險Allianz Gl Invr AI Income and Growth HB CNY-H3.147.0922.0416.76   15.33      
安聯AI收益成長多重資產證券投資信託基金-HN類型-人民幣避險Allianz Gl Invr AI Income and Growth HN CNY-H3.147.0922.0416.76   15.33      
安聯AI收益成長多重資產證券投資信託基金-A類型-美元Allianz Gl Invr AI Income and Growth A USD3.318.0424.0119.62   17.92      
安聯AI收益成長多重資產證券投資信託基金-B類型-美元Allianz Gl Invr AI Income and Growth B USD3.338.0824.0119.66   17.98      
安聯AI收益成長多重資產證券投資信託基金-N類型-美元Allianz Gl Invr AI Income and Growth N USD3.338.0824.0119.66   17.87      
?豐超核心優化多重資產證券投資信託基金 不配息 (新臺幣)HSBC Super Core Optimized Multi-Asset ACTWD2.866.876.397.6   6.03      
?豐超核心優化多重資產證券投資信託基金 月配息 AM2 (新臺幣)HSBC Super Core Optimized Multi-Asset AM2TWD2.866.856.357.56   5.99      
?豐超核心優化多重資產證券投資信託基金 不配息 N (新臺幣)HSBC Super Core Optimized Multi-Asset NACTWD2.866.856.377.58   6.01      
?豐超核心優化多重資產證券投資信託基金 月配息 NM2 (新臺幣)HSBC Super Core Optimized Multi-Asset NM2TWD2.866.856.357.56   5.98      
?豐超核心優化多重資產證券投資信託基金 不配息 (美元)HSBC Super Core Optimized Multi-Asset ACUSD1.923.9510.7512.06   13.01      
?豐超核心優化多重資產證券投資信託基金 月配息 AM2 (美元)HSBC Super Core Optimized Multi-Asset AM2USD1.923.9510.7312.04   12.99      
?豐超核心優化多重資產證券投資信託基金 不配息 N (美元)HSBC Super Core Optimized Multi-Asset NACUSD1.923.9510.7312.04   12.99      
?豐超核心優化多重資產證券投資信託基金 月配息 NM2 (美元)HSBC Super Core Optimized Multi-Asset NM2USD1.923.9510.7312.04   12.99      
?豐超核心優化多重資產證券投資信託基金 不配息 (南非幣)HSBC Super Core Optimized Multi-Asset ACZAR2.184.2110.8512.88   12.84      
?豐超核心優化多重資產證券投資信託基金 月配息 AM2 (南非幣)HSBC Super Core Optimized Multi-Asset AM2ZAR2.174.2110.8612.88   12.84      
?豐超核心優化多重資產證券投資信託基金 不配息 N (南非幣)HSBC Super Core Optimized Multi-Asset NACZAR2.174.2110.8512.88   12.84      
?豐超核心優化多重資產證券投資信託基金 月配息 NM2 (南非幣)HSBC Super Core Optimized Multi-Asset NM2ZAR2.174.2110.8512.88   12.84      
摩根大美國領先收成多重資產證券投資信託基金 累積型 新臺幣JPMorgan (Taiwan) U.S. High Inc A Acc TWD0.193.296.692.07   2.57      
摩根大美國領先收成多重資產證券投資信託基金 累積型 美元JPMorgan (Taiwan) U.S. High Inc A Acc USD02.878.685.69   6.21      
摩根大美國領先收成多重資產證券投資信託基金 累積型 人民幣JPMorgan (Taiwan) U.S. High Inc A Acc CNH-0.091.946.93.74   3.54      
摩根大美國領先收成多重資產證券投資信託基金 月配息型 新臺幣JPMorgan (Taiwan) U.S. High Inc A Dist TWD0.093.156.572.02   2.6      
摩根大美國領先收成多重資產證券投資信託基金 月配息型 美元JPMorgan (Taiwan) U.S. High Inc A Dist USD-0.022.818.645.67   6.17      
摩根大美國領先收成多重資產證券投資信託基金 月配息型 人民幣JPMorgan (Taiwan) U.S. High Inc A Dist CNH-0.121.926.863.7   3.57      
摩根大美國領先收成多重資產證券投資信託基金 月配息後收型 新臺幣JPMorgan (Taiwan) U.S. High Inc H Dist TWD0.193.266.682.13   2.61      
摩根大美國領先收成多重資產證券投資信託基金 月配息後收型 美元JPMorgan (Taiwan) U.S. High Inc H Dist USD-0.022.818.645.67   6.17      
摩根大美國領先收成多重資產證券投資信託基金 月配息後收型 人民幣JPMorgan (Taiwan) U.S. High Inc H Dist CNH-0.121.926.863.7   3.57      
富邦台灣優質多重資產證券投資信託基金Fubon Taiwan Quality Multi-Asset Fund-0.880.992.621.7   1.7      
華南永昌全球科技多重資產證券投資信託基金 累積 (新台幣)Hua Nan Global Technology Multi Asset A Acc TWD2.797.4412.186.06   4.09      
華南永昌全球科技多重資產證券投資信託基金 月配 (新台幣)Hua Nan Global Technology Multi Asset B Dist TWD2.767.4612.176.04   4.08      
華南永昌全球科技多重資產證券投資信託基金 累積 (美元)Hua Nan Global Technology Multi Asset C Acc USD1.844.4316.7510.47   10.91      
華南永昌全球科技多重資產證券投資信託基金 月配 (美元)Hua Nan Global Technology Multi Asset D Dist USD1.894.616.5110.21   10.65      
宏利實質多重資產證券投資信託基金 B類型 (日幣避險)Manulife Real Asset Income Multi Assets B JPY-H0000   0      
宏利實質多重資產證券投資信託基金 NB類型 (日幣避險)Manulife Real Asset Income Multi Assets NB JPY-H0000   0      
國泰美國收益傘型證券投資信託基金之美國多重收益平衡證券投資信託基金 B類型 (日圓)Cathay US Multi-Income Balanced Fund B JPY4.26.7817.769.02   7.22      
合庫 AI 多重資產證券投資信託基金 A類型 (新台幣)TCB Multi-Asset AI Theme Fund A TWD8.717.932.05    20.5      
合庫 AI 多重資產證券投資信託基金 B類型 (新台幣)TCB Multi-Asset AI Theme Fund B TWD8.7317.8932.14    20.53      
合庫 AI 多重資產證券投資信託基金 NB類型 (新台幣)TCB Multi-Asset AI Theme Fund NB TWD8.7317.8932.14    20.53      
合庫 AI 多重資產證券投資信託基金 A類型 (美元)TCB Multi-Asset AI Theme Fund A USD8.5717.3439.02    29.58      
合庫 AI 多重資產證券投資信託基金 B類型 (美元)TCB Multi-Asset AI Theme Fund B USD8.7817.4839.42    30.04      
合庫 AI 多重資產證券投資信託基金 NB類型 (美元)TCB Multi-Asset AI Theme Fund NB USD8.6317.4439.01    29.51      
合庫 AI 多重資產證券投資信託基金 A類型 (人民幣)TCB Multi-Asset AI Theme Fund A CNY8.5116.0636.31    25.88      
合庫 AI 多重資產證券投資信託基金 B類型 (人民幣)TCB Multi-Asset AI Theme Fund B CNY8.5116.0536.27    25.92      
野村全天候組合證券投資信託基金 累積 (新臺幣)Nomura All Weather Fund of Funds Acc TWD1.917.8111.87    8.86      
野村全天候組合證券投資信託基金 月配 (新臺幣)Nomura All Weather Fund of Funds Div Mthly TWD1.887.7711.85    8.84      
野村全天候組合證券投資信託基金 N 累積 (新臺幣)Nomura All Weather Fund of Funds N Acc TWD1.887.7711.85    8.85      
野村全天候組合證券投資信託基金 N 月配 (新臺幣)Nomura All Weather Fund of Funds N Div Mthly TWD1.877.7711.85    8.85      
野村全天候組合證券投資信託基金 S (新臺幣)Nomura All Weather Fund of Funds S TWD000    0      
野村全天候組合證券投資信託基金 累積 (美元)Nomura All Weather Fund of Funds Acc USD1.356.2815.77    14.7      
野村全天候組合證券投資信託基金 月配 (美元)Nomura All Weather Fund of Funds Div Mthly USD1.316.2115.68    14.61      
野村全天候組合證券投資信託基金 N 累積 (美元)Nomura All Weather Fund of Funds N Acc USD1.36.1815.64    14.57      
野村全天候組合證券投資信託基金 N 月配 (美元)Nomura All Weather Fund of Funds N Div Mthly USD1.36.1915.65    14.58      
野村全天候組合證券投資信託基金 月配 (南非幣)Nomura All Weather Fund of Funds Div Mthly ZAR1.616.5416.3    15.81      
兆豐ESG台美永續雙盈多重資產證券投資信託基金 (累積) 新臺幣Mega ESG TW-U.S. Sustainable Db Proft MA TWD Acc3.29.115.71    4.99      
兆豐ESG台美永續雙盈多重資產證券投資信託基金 (配息) 新臺幣Mega ESG TW-U.S. Sustainable Db Proft MA TWD Dis3.139.0115.57    4.9      
兆豐ESG台美永續雙盈多重資產證券投資信託基金 (配息) 後收 新臺幣Mega ESG TW-U.S. Sustainable Db Proft MA TWD N Dis3.139.0115.58    4.9      
兆豐ESG台美永續雙盈多重資產證券投資信託基金 (累積) 美元Mega ESG TW-U.S. Sustainable Db Proft MA USD Acc2.617.1817.52    8.16      
兆豐ESG台美永續雙盈多重資產證券投資信託基金 (配息) 美元Mega ESG TW-U.S. Sustainable Db Proft MA USD Dis2.627.1317.61    8.19      
兆豐ESG台美永續雙盈多重資產證券投資信託基金 (配息) 後收 美元Mega ESG TW-U.S. Sustainable Db Proft MA USD N Dis2.627.1317.61    8.19      
施羅德美國成長多重資產證券投資信託基金 A類型 累積 (新台幣)Schroder US Growth Multi-Asset Fund A TWD Acc3.5612.4523.42           
施羅德美國成長多重資產證券投資信託基金 C類型 累積 (新台幣)Schroder US Growth Multi-Asset Fund C TWD Acc000           
施羅德美國成長多重資產證券投資信託基金 A類型 累積 (美元)Schroder US Growth Multi-Asset Fund A USD Acc2.69.2628.51           
施羅德美國成長多重資產證券投資信託基金 C類型 累積 (美元)Schroder US Growth Multi-Asset Fund C USD Acc2.689.518.7           
野村全球科技多重資產證券投資信託基金 S (美元)Nomura Global Technology Multi-Asset S USD5.8313.6130.03    15.04      
富蘭克林華美多重資產收益證券投資信託基金 NA 累積 (新台幣)Franklin Templeton SinoAm Mlt-Asst Inc NA Acc TWD4.049.4211.73           
富蘭克林華美多重資產收益證券投資信託基金 NB 分配 (新台幣)Franklin Templeton SinoAm Mlt-Asst Inc NB Div TWD4.019.4511.78    6.33      
富蘭克林華美多重資產收益證券投資信託基金 NA 累積 (美元)Franklin Templeton SinoAm Mlt-Asst Inc NA Acc USD3.126.4316.46           
富蘭克林華美多重資產收益證券投資信託基金 NB 分配 (美元)Franklin Templeton SinoAm Mlt-Asst Inc NB Div USD3.116.5216.39           
宏利數位基礎設施多重資產證券投資信託基金 B類型 (日圓)Manulife Glo Digital Facilities Mlt-Asst B JPY3.873.449.21    4.08      
宏利數位基礎設施多重資產證券投資信託基金 NB類型 (日圓)Manulife Glo Digital Facilities Mlt-Asst NB JPY3.873.459.24    3.42      
鋒裕匯理 CIO 精選增長證券投資信託基金 A2 新臺幣Amundi TW -Signature CIO Growth Fund A2 TWD3.4210.6713.44           
鋒裕匯理 CIO 精選增長證券投資信託基金 N2 新臺幣Amundi TW -Signature CIO Growth Fund N2 TWD3.4210.6713.44           
鋒裕匯理 CIO 精選增長證券投資信託基金 AD 新臺幣Amundi TW -Signature CIO Growth Fund AD TWD3.4110.6113.55           
鋒裕匯理 CIO 精選增長證券投資信託基金 ND 新臺幣Amundi TW -Signature CIO Growth Fund ND TWD3.4110.6113.55           
鋒裕匯理 CIO 精選增長證券投資信託基金 A2 美元Amundi TW -Signature CIO Growth Fund A2 USD2.467.5618.14           
鋒裕匯理 CIO 精選增長證券投資信託基金 N2 美元Amundi TW -Signature CIO Growth Fund N2 USD2.467.5618.14           
鋒裕匯理 CIO 精選增長證券投資信託基金 AD 美元Amundi TW -Signature CIO Growth Fund AD USD2.537.6718.2           
鋒裕匯理 CIO 精選增長證券投資信託基金 ND 美元Amundi TW -Signature CIO Growth Fund ND USD2.447.6818.1           
鋒裕匯理 CIO 精選增長證券投資信託基金 A2 南非幣Amundi TW -Signature CIO Growth Fund A2 ZAR2.528.0618.95           
鋒裕匯理 CIO 精選增長證券投資信託基金 N2 南非幣Amundi TW -Signature CIO Growth Fund N2 ZAR2.68.0419.13           
鋒裕匯理 CIO 精選增長證券投資信託基金 AD 南非幣Amundi TW -Signature CIO Growth Fund AD ZAR2.448.0418.99           
鋒裕匯理 CIO 精選增長證券投資信託基金 ND 南非幣Amundi TW -Signature CIO Growth Fund ND ZAR2.628.0418.99           
鋒裕匯理 CIO 精選增長證券投資信託基金 A2 人民幣Amundi TW -Signature CIO Growth Fund A2 CNH2.256.8616.02           
鋒裕匯理 CIO 精選增長證券投資信託基金 N2 人民幣Amundi TW -Signature CIO Growth Fund N2 CNH2.246.8516.22           
鋒裕匯理 CIO 精選增長證券投資信託基金 AD 人民幣Amundi TW -Signature CIO Growth Fund AD CNH2.236.7816.15           
鋒裕匯理 CIO 精選增長證券投資信託基金 ND 人民幣Amundi TW -Signature CIO Growth Fund ND CNH2.236.7816.27           
鋒裕匯理 CIO 精選增長證券投資信託基金 A2 澳幣Amundi TW -Signature CIO Growth Fund A2 AUD2.417.3817.36           
鋒裕匯理 CIO 精選增長證券投資信託基金 N2 澳幣Amundi TW -Signature CIO Growth Fund N2 AUD2.417.2917.26           
鋒裕匯理 CIO 精選增長證券投資信託基金 AD 澳幣Amundi TW -Signature CIO Growth Fund AD AUD2.37.1116.91           
鋒裕匯理 CIO 精選增長證券投資信託基金 ND 澳幣Amundi TW -Signature CIO Growth Fund ND AUD2.397.2917.21           
瀚亞多重收益優化組合證券投資信託基金S-日幣Eastspring Investments Optimal Inc Fd of Fds S JPY4.026.1316.15           
群益印美戰略多重資產證券投資信託基金 A類型 (新臺幣)Capital India-U.S. Multi Asset Fund A TWD33.93            
群益印美戰略多重資產證券投資信託基金 B類型 (新臺幣)Capital India-U.S. Multi Asset Fund B TWD33.93            
群益印美戰略多重資產證券投資信託基金 NA類型 (新臺幣)Capital India-U.S. Multi Asset Fund NA TWD33.93            
群益印美戰略多重資產證券投資信託基金 NB類型 (新臺幣)Capital India-U.S. Multi Asset Fund NB TWD33.93            
群益印美戰略多重資產證券投資信託基金 A類型 (美元)Capital India-U.S. Multi Asset Fund A USD2.061.11            
群益印美戰略多重資產證券投資信託基金 B類型 (美元)Capital India-U.S. Multi Asset Fund B USD2.061.11            
群益印美戰略多重資產證券投資信託基金 NA類型 (美元)Capital India-U.S. Multi Asset Fund NA USD2.061.12            
群益印美戰略多重資產證券投資信託基金 NB類型 (美元)Capital India-U.S. Multi Asset Fund NB USD2.061.11            
施羅德台美雙利多重資產證券投資信託基金A類型 (新台幣) 累積Schroder TW-US Opps Multi-Asset A TWD Acc7.7316.2            
施羅德台美雙利多重資產證券投資信託基金B類型 (新台幣) 配息Schroder TW-US Opps Multi-Asset B TWD Dis7.7416.23            
施羅德台美雙利多重資產證券投資信託基金NA類型 (新台幣) 累積Schroder TW-US Opps Multi-Asset NA TWD Acc7.6416.2            
施羅德台美雙利多重資產證券投資信託基金NB類型 (新台幣) 配息Schroder TW-US Opps Multi-Asset NB TWD Dis7.7416.23            
施羅德台美雙利多重資產證券投資信託基金A類型 (美元) 累積Schroder TW-US Opps Multi-Asset A USD Acc6.7412.8            
施羅德台美雙利多重資產證券投資信託基金B類型 (美元) 配息Schroder TW-US Opps Multi-Asset B USD Dis6.6312.91            
施羅德台美雙利多重資產證券投資信託基金NA類型 (美元) 累積Schroder TW-US Opps Multi-Asset NA USD Acc6.6512.7            
施羅德台美雙利多重資產證券投資信託基金NB類型 (美元) 配息Schroder TW-US Opps Multi-Asset NB USD Dis6.7213            
統一優選低波多重資產證券投資信託基金 累積型 (新台幣)UPAMC Quality Low Volatility MA-Acc TWD5.7310.7710.86           
統一優選低波多重資產證券投資信託基金 月配型 (新台幣)UPAMC Quality Low Volatility MA-MD TWD5.7310.7710.86           
合庫核心趨勢多重資產證券投資信託基金 A類型(新台幣)TCB Core Trends Multi-Asset Fund A TWD3.4110.7712.55           
合庫核心趨勢多重資產證券投資信託基金 B類型(新台幣)TCB Core Trends Multi-Asset Fund B TWD3.4110.7512.52           
合庫核心趨勢多重資產證券投資信託基金 NB類型(新台幣)TCB Core Trends Multi-Asset Fund NB TWD3.4110.7512.52           
合庫核心趨勢多重資產證券投資信託基金 A類型(美元)TCB Core Trends Multi-Asset Fund A USD2.447.817.72           
合庫核心趨勢多重資產證券投資信託基金 B類型(美元)TCB Core Trends Multi-Asset Fund B USD2.397.6417.7           
合庫核心趨勢多重資產證券投資信託基金 NB類型(美元)TCB Core Trends Multi-Asset Fund NB USD2.47.5817.01           
鋒裕匯理 CIO 精選均衡證券投資信託基金 A2 新臺幣Amundi TW -Signature CIO Balanced Fund A2 TWD2.659.12            
鋒裕匯理 CIO 精選均衡證券投資信託基金 N2 新臺幣Amundi TW -Signature CIO Balanced Fund N2 TWD2.659.12            
鋒裕匯理 CIO 精選均衡證券投資信託基金 AD 新臺幣Amundi TW -Signature CIO Balanced Fund AD TWD2.629.11            
鋒裕匯理 CIO 精選均衡證券投資信託基金 ND 新臺幣Amundi TW -Signature CIO Balanced Fund ND TWD2.629.11            
鋒裕匯理 CIO 精選均衡證券投資信託基金 A2 美元Amundi TW -Signature CIO Balanced Fund A2 USD1.766.19            
鋒裕匯理 CIO 精選均衡證券投資信託基金 N2 美元Amundi TW -Signature CIO Balanced Fund N2 USD1.766.19            
鋒裕匯理 CIO 精選均衡證券投資信託基金 AD 美元Amundi TW -Signature CIO Balanced Fund AD USD1.736.16            
鋒裕匯理 CIO 精選均衡證券投資信託基金 ND 美元Amundi TW -Signature CIO Balanced Fund ND USD1.736.16            
鋒裕匯理 CIO 精選均衡證券投資信託基金 A2 南非幣Amundi TW -Signature CIO Balanced Fund A2 ZAR0.474.07            
鋒裕匯理 CIO 精選均衡證券投資信託基金 N2 南非幣Amundi TW -Signature CIO Balanced Fund N2 ZAR1.576.4            
鋒裕匯理 CIO 精選均衡證券投資信託基金 AD 南非幣Amundi TW -Signature CIO Balanced Fund AD ZAR1.946.31            
鋒裕匯理 CIO 精選均衡證券投資信託基金 ND 南非幣Amundi TW -Signature CIO Balanced Fund ND ZAR1.936.7            
鋒裕匯理 CIO 精選均衡證券投資信託基金 A2 人民幣Amundi TW -Signature CIO Balanced Fund A2 CNH1.55.45            
鋒裕匯理 CIO 精選均衡證券投資信託基金 N2 人民幣Amundi TW -Signature CIO Balanced Fund N2 CNH1.55.35            
鋒裕匯理 CIO 精選均衡證券投資信託基金 AD 人民幣Amundi TW -Signature CIO Balanced Fund AD CNH1.475.35            
鋒裕匯理 CIO 精選均衡證券投資信託基金 ND 人民幣Amundi TW -Signature CIO Balanced Fund ND CNH1.475.45            
鋒裕匯理 CIO 精選均衡證券投資信託基金 A2 澳幣Amundi TW -Signature CIO Balanced Fund A2 AUD1.585.81            
鋒裕匯理 CIO 精選均衡證券投資信託基金 N2 澳幣Amundi TW -Signature CIO Balanced Fund N2 AUD1.586            
鋒裕匯理 CIO 精選均衡證券投資信託基金 AD 澳幣Amundi TW -Signature CIO Balanced Fund AD AUD1.555.68            
鋒裕匯理 CIO 精選均衡證券投資信託基金 ND 澳幣Amundi TW -Signature CIO Balanced Fund ND AUD1.455.68            
安聯AI收益成長多重資產證券投資信託基金-C類型-新臺幣Allianz Gl Invr AI Income and Growth C TWD4.26             
安聯AI收益成長多重資產證券投資信託基金-C類型-美元Allianz Gl Invr AI Income and Growth C USD3.248.0123.98           
台新全球傘型證券投資信託基金之台新收益領航多重資產證券投資信託基金A類型 (新臺幣)Taishin Global Income and Growth Fund A TWD3.0312.14            
台新全球傘型證券投資信託基金之台新收益領航多重資產證券投資信託基金B類型 (新臺幣)Taishin Global Income and Growth Fund B TWD3.0212.09            
台新全球傘型證券投資信託基金之台新收益領航多重資產證券投資信託基金NA類型 (新臺幣)Taishin Global Income and Growth Fund NA TWD3.1312.14            
台新全球傘型證券投資信託基金之台新收益領航多重資產證券投資信託基金NB類型 (新臺幣)Taishin Global Income and Growth Fund NB TWD3.0212.09            
台新全球傘型證券投資信託基金之台新收益領航多重資產證券投資信託基金A類型 (美元)Taishin Global Income and Growth Fund A USD2.148.36            
台新全球傘型證券投資信託基金之台新收益領航多重資產證券投資信託基金B類型 (美元)Taishin Global Income and Growth Fund B USD2.018.31            
台新全球傘型證券投資信託基金之台新收益領航多重資產證券投資信託基金NA類型 (美元)Taishin Global Income and Growth Fund NA USD2.138.77            
台新全球傘型證券投資信託基金之台新收益領航多重資產證券投資信託基金NB類型 (美元)Taishin Global Income and Growth Fund NB USD2.138.94            
台新全球傘型證券投資信託基金之台新收益領航多重資產證券投資信託基金A類型 (人民幣)Taishin Global Income and Growth Fund A CNY2.157.34            
台新全球傘型證券投資信託基金之台新收益領航多重資產證券投資信託基金B類型 (人民幣)Taishin Global Income and Growth Fund B CNY2.237.21            
台新全球傘型證券投資信託基金之台新收益領航多重資產證券投資信託基金NA類型 (人民幣)Taishin Global Income and Growth Fund NA CNY2.147.86            
台新全球傘型證券投資信託基金之台新收益領航多重資產證券投資信託基金NB類型 (人民幣)Taishin Global Income and Growth Fund NB CNY2.167.8            
台新全球傘型證券投資信託基金之台新收益領航多重資產證券投資信託基金A類型 (日圓)Taishin Global Income and Growth Fund A JPY6.5110.35            
台新全球傘型證券投資信託基金之台新收益領航多重資產證券投資信託基金B類型 (日圓)Taishin Global Income and Growth Fund B JPY5.689.25            
台新全球傘型證券投資信託基金之台新收益領航多重資產證券投資信託基金NA類型 (日圓)Taishin Global Income and Growth Fund NA JPY6.3511.13            
台新全球傘型證券投資信託基金之台新收益領航多重資產證券投資信託基金NB類型 (日圓)Taishin Global Income and Growth Fund NB JPY6.311.05            
兆豐全球尖端科技多重資產證券投資信託基金 (累積) 新臺幣Mega Advanced Technology Multi-Asset TWD Acc7.7916.89            
兆豐全球尖端科技多重資產證券投資信託基金 (配息) 新臺幣Mega Advanced Technology Multi-Asset TWD Dis7.7916.89            
兆豐全球尖端科技多重資產證券投資信託基金 (累積) 後收 新台幣Mega Advanced Technology Multi-Asset TWD N Acc7.7916.89            
兆豐全球尖端科技多重資產證券投資信託基金 (配息) 後收 新台幣Mega Advanced Technology Multi-Asset TWD N Dis7.7916.89            
兆豐全球尖端科技多重資產證券投資信託基金 (累積) 美元Mega Advanced Technology Multi-Asset USD Acc6.7414.46            
兆豐全球尖端科技多重資產證券投資信託基金 (配息) 美元Mega Advanced Technology Multi-Asset USD Dis6.7414.46            
兆豐全球尖端科技多重資產證券投資信託基金 (累積) 後收 美元Mega Advanced Technology Multi-Asset USD N Acc6.7414.46            
兆豐全球尖端科技多重資產證券投資信託基金 (配息) 後收 美元Mega Advanced Technology Multi-Asset USD N Dis6.7414.46            
富邦雙核心戰略多重資產證券投資信託基金 A類型 (新臺幣)Fubon Dual-Core Strategy Multi-Asset Fund A TWD2.03             
富邦雙核心戰略多重資產證券投資信託基金 NA類型 (新臺幣)Fubon Dual-Core Strategy Multi-Asset Fund NA TWD2.03             
富邦雙核心戰略多重資產證券投資信託基金 B類型 (新臺幣)Fubon Dual-Core Strategy Multi-Asset Fund B TWD2.03             
富邦雙核心戰略多重資產證券投資信託基金 NB類型 (新臺幣)Fubon Dual-Core Strategy Multi-Asset Fund NB TWD2.03             
富邦雙核心戰略多重資產證券投資信託基金 A類型 (人民幣)Fubon Dual-Core Strategy Multi-Asset Fund A CNY1.01             
富邦雙核心戰略多重資產證券投資信託基金 NA類型 (人民幣)Fubon Dual-Core Strategy Multi-Asset Fund NA CNY1.01             
富邦雙核心戰略多重資產證券投資信託基金 B類型 (人民幣)Fubon Dual-Core Strategy Multi-Asset Fund B CNY1.01             
富邦雙核心戰略多重資產證券投資信託基金 NB類型 (人民幣)Fubon Dual-Core Strategy Multi-Asset Fund NB CNY1.01             
富邦雙核心戰略多重資產證券投資信託基金 A類型 (美元)Fubon Dual-Core Strategy Multi-Asset Fund A USD1.1             
富邦雙核心戰略多重資產證券投資信託基金 NA類型 (美元)Fubon Dual-Core Strategy Multi-Asset Fund NA USD1.1             
富邦雙核心戰略多重資產證券投資信託基金 B類型 (美元)Fubon Dual-Core Strategy Multi-Asset Fund B USD1.1             
富邦雙核心戰略多重資產證券投資信託基金 NB類型 (美元)Fubon Dual-Core Strategy Multi-Asset Fund NB USD1.1             
柏瑞日本多重資產證券投資信託基金 A類型 (新臺幣)PineBridge Japan Multi-Asset Fund A TWD1.88             
柏瑞日本多重資產證券投資信託基金 B類型 (新臺幣)PineBridge Japan Multi-Asset Fund B TWD1.88             
柏瑞日本多重資產證券投資信託基金 N類型 (新臺幣)PineBridge Japan Multi-Asset Fund N TWD1.87             
柏瑞日本多重資產證券投資信託基金 N9類型 (新臺幣)PineBridge Japan Multi-Asset Fund N9 TWD1.88             
柏瑞日本多重資產證券投資信託基金 A類型(日幣)PineBridge Japan Multi-Asset Fund A JPY5.18             
柏瑞日本多重資產證券投資信託基金 B類型(日幣)PineBridge Japan Multi-Asset Fund B JPY5.18             
柏瑞日本多重資產證券投資信託基金 N類型(日幣)PineBridge Japan Multi-Asset Fund N JPY5.18             
柏瑞日本多重資產證券投資信託基金 N9類型(日幣)PineBridge Japan Multi-Asset Fund N9 JPY5.18             
柏瑞日本多重資產證券投資信託基金 AH類型(日幣)PineBridge Japan Multi-Asset Fund AH JPY3.47             
柏瑞日本多重資產證券投資信託基金 N9H類型(日幣)PineBridge Japan Multi-Asset Fund N9H JPY3.47             
柏瑞日本多重資產證券投資信託基金 AH類型(美元)PineBridge Japan Multi-Asset Fund AH USD3.34             
柏瑞日本多重資產證券投資信託基金 BH類型(美元)PineBridge Japan Multi-Asset Fund BH USD3.34             
柏瑞日本多重資產證券投資信託基金 NH類型(美元)PineBridge Japan Multi-Asset Fund NH USD3.34             
柏瑞日本多重資產證券投資信託基金 N9H類型(美元)PineBridge Japan Multi-Asset Fund N9H USD3.34             
柏瑞日本多重資產證券投資信託基金 IH類型(美元)PineBridge Japan Multi-Asset Fund IH USD3.4             
凱基未來世代關鍵收息多重資產證券投資信託基金 TISA不配息 (新臺幣)KGI Next Generation Multi-Asset Fund TISA TWD4.099.98            
中國信託科技趨勢多重資產證券投資信託基金TISA類型(新台幣)CTBC Global Tech Trends Multi-Asset Fund TISA TWD4.5110.67            
富蘭克林華美多重資產收益證券投資信託基金 TISA 累積 (新台幣)Franklin Templeton SinoAm Mlt-Asst Inc TISA TWD4.03             
野村平衡證券投資信託基金 TISA類型 (新臺幣)Nomura Taiwan Balanced Fund TISA TWD2.8             
野村多元收益多重資產證券投資信託基金 TISA類型 (新臺幣)Nomura Multi Income Multi-Asset Fund TISA TWD0.67             
華南永昌多重資產入息平衡證券投資信託基金 TISA 累積 (新台幣)Hua Nan Multi-Assets Balanced Income Fund TISA TWD0             
鋒裕匯理全球多重資產成長收益證券投資信託基金 A2 新臺幣Amundi TW -MA Growth and Income A2 TWD              
鋒裕匯理全球多重資產成長收益證券投資信託基金 N2 新臺幣Amundi TW -MA Growth and Income N2 TWD              
鋒裕匯理全球多重資產成長收益證券投資信託基金 AD 新臺幣Amundi TW -MA Growth and Income AD TWD              
鋒裕匯理全球多重資產成長收益證券投資信託基金 ND 新臺幣Amundi TW -MA Growth and Income ND TWD              
鋒裕匯理全球多重資產成長收益證券投資信託基金 A2 美元Amundi TW -MA Growth and Income A2 USD              
鋒裕匯理全球多重資產成長收益證券投資信託基金 N2 美元Amundi TW -MA Growth and Income N2 USD              
鋒裕匯理全球多重資產成長收益證券投資信託基金 AD 美元Amundi TW -MA Growth and Income AD USD              
鋒裕匯理全球多重資產成長收益證券投資信託基金 ND 美元Amundi TW -MA Growth and Income ND USD              
鋒裕匯理全球多重資產成長收益證券投資信託基金 A2 日幣(避險)Amundi TW -MA Growth and Income A2 JPY Hedged              
鋒裕匯理全球多重資產成長收益證券投資信託基金 N2 日幣(避險)Amundi TW -MA Growth and Income N2 JPY Hedged              
鋒裕匯理全球多重資產成長收益證券投資信託基金 AD 日幣(避險)Amundi TW -MA Growth and Income AD JPY Hedged              
鋒裕匯理全球多重資產成長收益證券投資信託基金 ND 日幣(避險)Amundi TW -MA Growth and Income ND JPY Hedged              
兆豐雙動能組合證券投資信託基金 新台幣Mega Dual Momentum Fund of Funds TWD Acc              
兆豐雙動能組合證券投資信託基金 美元Mega Dual Momentum Fund of Funds USD Acc              

※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