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)


【環球美元平衡混合型】
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)
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自今年以來十年
聯博-全球多元收益基金 AX 美元AB SICAV I-All Market Income Pf AX USD0.996.75.279.5324.5727.15307.0745.687.0623.090.120.01-8.9
貝萊德環球資產配置基金 A2 美元BGF Global Allocation A2 USD0.169.346.3911.3622.6329.235.129.3969.657.590.80.110.410.06
富蘭克林坦伯頓全球投資系列-全球平衡基金 美元A(Qdis)股Templeton Global Value and Income A (Qdis) USD-0.437.177.37.415.4927.4941.7210.9546.3411.48 0.07  
聯博-全球多元收益基金 AX 歐元AB SICAV I-All Market Income Pf AX EUR4.245.94-4.33.8519.9613.85 -2.8 7.390.510.050.220.01
柏瑞環球基金-柏瑞環球動態資產配置基金 YPineBridge Global Dynamic Asset Allocation Y USD-0.316.514.027.3415.7817.6223.027.0934.667.48 0.02  
瑞銀 (盧森堡) 策略基金 - 平衡型 (美元) (累積)UBS (Lux) Strategy Fund - Balanced Sust(USD) Pa1.157.693.818.3218.2222.6527.236.2451.587.25 0.07  
富蘭克林坦伯頓全球投資系列-全球平衡基金 美元A(acc)股Templeton Global Value and Income A (acc) USD-0.417.177.317.4215.5127.541.710.9946.3911.47 0.07  
貝萊德環球資產配置基金 A2 歐元BGF Global Allocation A2 EUR2.858.94-3.345.8218.6515.1139.99-0.5265.077.870.860.050.170.01
貝萊德環球資產配置基金 C2 美元BGF Global Allocation C2 USD0.068.995.729.9819.624.4326.938.6149.737.580.80.080.28-0.04
柏瑞環球基金-柏瑞環球動態資產配置基金 APineBridge Global Dynamic Asset Allocation A USD-0.46.223.486.2213.3713.9816.736.4321.417.47 -0.01  
聯博-全球多元收益基金 A2X 美元AB SICAV I-All Market Income Pf A2X USD1.036.735.319.5324.5827.1530.067.0945.697.1123.240.120.01-8.96
聯博-全球多元收益基金 A2X 歐元AB SICAV I-All Market Income Pf A2X EUR4.285.92-4.313.8820.0313.87 -2.81 7.40.510.050.220.01
羅素多元資產50基金 B 美元Russell Investments Multi-Asset 50 Class B0.725.834.288.3315.7119.4824.486.2449.817.09 0.04  
MFS全盛全球資產配置基金 A1 歐元MFS Meridian Funds-Global Total Return A1 EUR2.323.07-4.07-0.1510.497.4431.62-2.0147.379.490.82-0.02-0.06-0.23
MFS全盛全球資產配置基金 I1 美元MFS Meridian Funds-Global Total Return I1 USD-0.784.126.076.3416.923.6633.928.6170.069.370.930.060.23-0.18
MFS全盛全球資產配置基金 A1 美元MFS Meridian Funds-Global Total Return A1 USD-0.873.855.555.314.6120.0627.387.9953.199.360.930.040.14-0.26
MFS全盛全球資產配置基金 A2 美元MFS Meridian Funds-Global Total Return A2 USD-0.863.885.555.314.6420.0927.45853.279.360.930.040.14-0.26
MFS全盛全球資產配置基金 C1 美元MFS Meridian Funds-Global Total Return C1 USD-0.933.655.124.412.6917.0122.177.4641.499.360.930.020.06-0.33
MFS全盛全球資產配置基金 C2 美元MFS Meridian Funds-Global Total Return C2 USD-0.953.625.14.3812.6417.0222.147.4341.469.360.930.020.06-0.33
貝萊德環球資產配置基金 D2 美元BGF Global Allocation D2 USD0.229.556.7812.224.4932.1440.289.8782.847.590.80.130.490.12
貝萊德環球資產配置基金 I2 美元BGF Global Allocation I2 USD0.249.616.8912.4325.0132.9841.7710.0186.737.590.80.140.510.14
貝萊德環球資產配置基金 Hedged A2 澳幣BGF Global Allocation A2 AUD Hedged0.099.15.439.7118.7422.1925.658.3955.0814.120.720.080.32-0.21
施羅德環球基金系列-環球股債收息基金(美元)A-累積Schroder ISF Global Multi-Asset Inc A Acc USD0.815.295.288.6418.124.124.337.5434.646.21 0.11  
施羅德環球基金系列-環球股債收息基金(美元)C-累積Schroder ISF Global Multi-Asset Inc C Acc USD0.865.455.599.2919.5326.428.147.9242.956.21 0.14  
施羅德環球基金系列-環球股債收息基金(美元)A-月配固定Schroder ISF Global Multi-Asset Inc A Dis USD MF0.815.295.288.6418.124.124.317.5434.616.21 0.11  
施羅德環球基金系列-環球股債收息基金(美元)C-月配固定Schroder ISF Global Multi-Asset Inc C Dis USD MF0.865.445.599.2919.5326.3528.17.9142.926.22 0.14  
施羅德環球基金系列-環球股債收息基金(歐元避險)A-累積Schroder ISF Global Multi-Asset Inc A Acc EURH0.544.594.096.4113.5916.0213.236.1510.259.55 0.08  
施羅德環球基金系列-環球股債收息基金(歐元避險)C-累積Schroder ISF Global Multi-Asset Inc C Acc EURH0.594.754.47.0714.9918.1516.626.5217.029.55 0.11  
施羅德環球基金系列-環球股債收息基金(歐元避險)A-季配浮動Schroder ISF Global Multi-Asset Inc A Dis EUR H QV0.544.64.126.3913.5716.0113.256.1810.269.55 0.08  
施羅德環球基金系列-環球股債收息基金(歐元避險)C-季配浮動Schroder ISF Global Multi-Asset Inc C Dis EUR H QV0.594.764.427.0314.9318.0816.66.5516.999.55 0.11  
貝萊德環球資產配置基金 Hedged A2 港幣BGF Global Allocation A2 HKD Hedged-0.158.595.429.8619.7324.5429.58.4257.597.630.80.090.33-0.03
貝萊德環球資產配置基金 Hedged D2 澳幣BGF Global Allocation D2 AUD Hedged0.159.335.8510.5520.5325.0130.498.8767.1414.130.720.10.4-0.15
施羅德環球基金系列-環球股債收息基金(澳幣避險)A-月配固定(C)Schroder ISF Global Multi-Asset Inc A Dis AUDH0.715.074.717.5815.3119.1117.466.9426.6611.78 0.08  
瑞銀 (盧森堡) 策略基金 - 平衡型 (美元) (月配息)UBS (Lux) Strategy Fund - Balanced Sust (USD) Pmd1.157.693.818.3218.2222.6527.236.2451.67.25 0.07  
富蘭克林坦伯頓全球投資系列-全球平衡基金美元Z(acc)股Templeton Global Value and Income Z (acc) USD-0.47.37.547.9316.6729.4945.3511.2454.111.46 0.08  
聯博-全球多元收益基金 A 美元AB SICAV I-All Market Income Pf A USD0.996.65.149.1523.6825.7827.86.8741.447.123.230.110.01-8.98
聯博-全球多元收益基金 I 美元AB SICAV I-All Market Income Pf I USD1.046.815.5110.0225.728.8933.077.3553.317.123.030.140.01-8.84
聯博-全球多元收益基金 S1 美元AB SICAV I-All Market Income Pf S1 USD1.16.885.6510.2626.1829.5934.297.4856.297.1123.260.140.01-8.91
聯博-全球多元收益基金 AD 月配 澳幣避險AB SICAV I-All Market Income Pf AD AUD H0.96.384.347.7620.1619.6719.756.1229.0812.63-0.60.07-0.280.57
聯博-全球多元收益基金 AD 月配 歐元避險AB SICAV I-All Market Income Pf AD EUR H0.755.854.1718.9817.3316.145.5915.0310.29-0.50.08-0.40.3
聯博-全球多元收益基金 AD 月配 美元AB SICAV I-All Market Income Pf AD USD0.936.545.089.1123.6325.7627.796.7941.427.1322.90.110.01-8.85
聯博-全球多元收益基金 AD 月配 南非幣避險AB SICAV I-All Market Income Pf AD ZAR H1.247.226.0911.6329.7135.0849.258.11107.7214.57-0.320.09-0.640.32
羅素多元資產50基金 W 美元Russell Investments Multi-Asset 50 Class W0.635.563.777.2513.4115.9418.415.6335.727.09 0.01  
柏瑞環球基金-柏瑞環球動態資產配置基金 ADCPineBridge Global Dynamic Asset Allocation ADC USD-0.46.223.486.2213.3713.9816.766.43 7.47 -0.01  
MFS全盛基金系列-MFS全盛多元資產優選成長基金 A1 (歐元)MFS Meridian Funds-Prudent Capital A1 EUR2.753.0109.0919.4516.6226.163.49 7.390.420.090.43-0.1
MFS全盛基金系列-MFS全盛多元資產優選成長基金 A1 (美元)MFS Meridian Funds-Prudent Capital A1 USD-0.493.7210.0115.0223.9330.3222.1514.04 6.980.520.140.68-0.09
MFS全盛基金系列-MFS全盛多元資產優選成長基金 AH1 (歐元避險)MFS Meridian Funds-Prudent Capital AH1 EUR-0.6738.612.7119.2321.8411.0312.43 11.710.360.120.840.07
MFS全盛基金系列-MFS全盛多元資產優選成長基金 I1 (歐元)MFS Meridian Funds-Prudent Capital I1 EUR2.823.280.5310.2622.120.4933.24.17 7.40.420.140.64-0.01
MFS全盛基金系列-MFS全盛多元資產優選成長基金 I1 (美元)MFS Meridian Funds-Prudent Capital I1 USD-0.394.0310.616.2926.6834.6728.9414.79 6.990.520.170.860.01
柏瑞環球基金-柏瑞環球動態資產配置基金 ADCT(穩定月配)Pinebridge Glo Dynamic Asset Allocation ADCT USD-0.46.223.486.2213.3713.9816.756.43 7.47 -0.01  
聯博-全球多元收益基金ED月配美元AB SICAV I-All Market Income Pf ED USD0.896.314.598.0321.1822.0321.556.2 7.1122.920.070.01-8.94
聯博-全球多元收益基金ED月配澳幣避險AB SICAV I-All Market Income Pf ED AUD H0.866.143.956.8117.8816.314.045.53 12.61-0.60.04-0.150.49
聯博-全球多元收益基金ED月配南非幣避險AB SICAV I-All Market Income Pf ED ZAR H1.146.955.5610.5127.2131.242.097.48 14.56-0.320.05-0.390.24
富蘭克林坦伯頓全球投資系列-全球平衡基金美元F(Qdis)股Templeton Global Value and Income F (Qdis) USD-0.526.816.756.2913.1423.6234.7110.34 11.48 0.05  
霸菱全球平衡基金-A類美元累積型Barings Global Balanced A USD ACC1.548.585.5610.0316.814.69.437.2836.427.95 0  
霸菱全球平衡基金-A類美元配息型Barings Global Balanced A USD Inc1.578.65.579.7216.1813.718.587.2735.337.93 -0.01  
聯博-全球多元收益基金SD月配美元AB SICAV I-All Market Income Pf SD USD Dis1.147.096.0111.0227.9732.38 7.94 7.1123.220.170.02-8.84
聯博-全球多元收益基金 S1 澳幣避險AB SICAV I-All Market Income Pf S1 AUD H1.036.75922.67  6.8      
貝萊德環球資產配置基金 A10 美元BGF Global Allocation A10 USD0.239.376.3811.4322.62  9.47      
貝萊德環球資產配置基金 Hedged A10 澳幣BGF Global Allocation A10 AUD Hedged0.169.155.429.6918.8  8.43      
瑞銀 (盧森堡) 策略基金 - 平衡型 (美元) I-A1-配息UBS (Lux) Strategy Fund - Balanced Sust (USD) IA1d1.217.874.169.06   6.66      
貝萊德環球資產配置基金 B10 美元 總報酬穩定配息BGF Global Allocation B10 USD0.059.125.8310.28   8.8      
貝萊德環球資產配置基金 Hedged A10 日圓 總報酬穩定配息BGF Global Allocation A10 JPY Hedged-0.178.234.14    6.72      
貝萊德環球資產配置基金 Hedged A2 日圓BGF Global Allocation A2 JPY Hedged-0.298.24.09    6.65      
貝萊德環球資產配置基金 Hedged B10 澳幣 總報酬穩定配息BGF Global Allocation B10 AUD Hedged-0.058.794.88    7.7      
貝萊德環球資產配置基金 Hedged B10 日圓 總報酬穩定配息BGF Global Allocation B10 JPY Hedged-0.277.933.64    6.09      
貝萊德環球資產配置基金 Hedged B2 日圓BGF Global Allocation B2 JPY Hedged-0.297.913.6    6.03      
貝萊德環球資產配置基金 B2 美元BGF Global Allocation B2 USD0.099.15.85    8.77      
聯博-全球多元收益基金 AD 月配 日圓避險AB SICAV I-All Market Income Pf AD JPY H0.645.582.95           
聯博-全球多元收益基金 ED 月配 日圓避險AB SICAV I-All Market Income Pf ED JPY H0.565.32.46           

※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