F02.基金績效評比( 晨星
星晨

日期
基金類別
基金名稱關鍵字
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【亞太區股票】
加入自選視窗基金名稱基金英文名稱報酬率(原幣別)年化標準差三年(原幣)Sharpe三年(原幣)Alpha三年(原幣)Beta三年(原幣)
一個月
三個月
六個月
一年
二年
三年
五年
自今年以來十年
荷寶資本成長基金-荷寶亞太優越股票 D歐元Robeco Asia-Pacific Equities D €6.812.8324.9621.074658.8880.0218.94104.311.011.193.290.88
富達基金-太平洋基金 (A股美元)Fidelity Pacific A-Dis-USD2.1713.6633.6535.4356.9767.0334.6736.9787.5417.280.79-3.941.16
摩根太平洋證券基金 - 摩根太平洋證券(美元)(累計)JPMorgan Pacific Sec (acc) - USD4.0112.9523.9825.8655.466.2824.5528.29135.5715.120.87-3.21.08
安聯東方入息基金-P 配息類股(美元)Allianz Oriental Income P USD1.739.4532.9924.0155.6676.5559.9232.22210.4817.040.91-1.731.13
安聯東方入息基金-A配息類股(美元)Allianz Oriental Income A USD1.669.2232.4322.9653.0372.1153.2631.28185.1817.030.86-2.581.13
統一亞太基金UPAMC Asia Pacific11.8526.4847.0427.2861.1472.3662.125.63127.2516.11.141.740.97
元大亞太成長基金Yuanta Asia Pacific Growth Fund6.1216.4719.319.4639.6543.513.6321.1-17.2314.540.82-2.950.86
新加坡大華亞太增長基金United Asia Pacific Growth3.414.1524.7523.4441.1357.3533.3120.3462.1710.841.14-0.420.95
復華亞太成長基金Fuh Hwa Asia Pacific Equity13.1234.3952.227.2960.2346.8329.3727.09136.57170.77-2.790.92
安聯東方入息基金-IT累積類股(美元)Allianz Oriental Income IT USD1.749.4633.0324.0655.7876.7660.2432.26211.7517.050.91-1.691.13
富邦亞洲機會基金Fubon Asian Opportunity1.318.1223.5934.0355.161.0331.4532.0973.2613.591.150.190.9
安聯東方入息基金 -I 配息類股(美元)Allianz Oriental Income I USD1.749.4633.0224.0655.7876.7760.2332.27211.7217.050.91-1.691.13
富達基金-太平洋基金 (Y股累計美元)Fidelity Pacific Y-Acc-USD2.2613.8934.2136.5759.6671.3840.537.94103.9817.290.84-3.091.16
新加坡大華亞太增長基金 - USDUnited Asia Pacific Growth2.4313.7925.1525.4648.5871.0739.8426.1574.6713.871.01  
群益東方盛世基金Capital East Millennium Equity10.3522.4126.1834.1965.5357.5725.729.6735.1514.451.04-2.041
荷寶資本成長基金-荷寶亞太優越股票 D美元Robeco Asia-Pacific Equities D $5.121426.9328.9659.7385.8978.732.83113.8712.831.33.340.88
富達基金-太平洋基金 (Y股美元)Fidelity Pacific Y-USD2.2313.8734.2436.659.6771.3640.4437.89103.8717.30.84-3.11.16
富達基金-太平洋基金 (Y股累計歐元)Fidelity Pacific Y-Acc-EUR4.0612.9232.0928.5646.346.741.8323.8394.7914.240.76-2.971.15
荷寶資本成長基金-荷寶亞太優越股票M美元Robeco Asia-Pacific Equities M $5.0713.8526.6228.3258.1583.1474.332.28103.4212.831.262.830.88
國泰亞洲成長基金-新台幣Cathay Asian Growth TWD13.3528.1739.7929.7464.3973.5531.0230.8171.4915.991.160.31.09
國泰亞洲成長基金-美元Cathay Asian Growth USD12.3624.7345.5835.2273.3481.8423.3139.5383.0218.210.920.541.07
元大亞太優質高股息100指數基金-新台幣A類型不配息Yuanta iSTOXX MUTB APACQualDiv100IdxATWD1.1410.118.316.4638.1463.589.4912.65 11.071.433.080.71
元大亞太優質高股息100指數基金-新台幣B類型配息Yuanta iSTOXX MUTB APACQualDiv100IdxBTWD1.0910.18.2416.5138.0963.4589.5512.68 11.111.433.060.71
元大亞太優質高股息100指數基金-新台幣I類型Yuanta iSTOXX MUTB APACQualDiv100IdxITWD1.1410.118.316.4638.1463.589.4912.65 11.071.433.080.71
元大亞太優質高股息100指數基金-美元B類型配息Yuanta iSTOXX MUTB APACQualDiv100IdxBUSD0.237.1212.7621.3445.5970.9277.9519.91 11.911.153.280.69
元大亞太優質高股息100指數基金-澳幣B類型配息Yuanta iSTOXX MUTB APACQualDiv100IdxBAUD1.275.1410.2821.8340.9567.0691.113.96 8.271.093.620.67
國泰亞洲成長基金-澳幣Cathay Asian Growth Fund AUD13.5222.4242.4135.7967.8477.78 31.91 14.930.890.851.04
國泰亞洲成長基金-人民幣Cathay Asian Growth Fund CNH12.2523.2142.6335.1768.1776.51 35.42 15.911.210.791.04
中國信託亞太高股息ETFCTBC Asia Pacific High Dividend ETF5.269.2119.8    14.51     
路博邁台日雙星股票基金T月配(新臺幣)Neuberger Berman Taipan T-S Eq TWD T MD5.0219.53           
路博邁台日雙星股票基金T累積(新臺幣)Neuberger Berman Taipan T-S Eq TWD T ACC5.0119.49           
路博邁台日雙星股票基金N累積(新臺幣)Neuberger Berman Taipan T-S Eq TWD N ACC5.0919.58           
路博邁台日雙星股票基金N月配(新臺幣)Neuberger Berman Taipan T-S Eq TWD N MD5.0219.53           
路博邁台日雙星股票基金T月配(美元)Neuberger Berman Taipan T-S Eq USD T MD4.1516.43           
路博邁台日雙星股票基金T累積(美元)Neuberger Berman Taipan T-S Eq USD T ACC4.1616.39           
路博邁台日雙星股票基金N累積(美元)Neuberger Berman Taipan T-S Eq USD N ACC4.1616.39           
路博邁台日雙星股票基金N月配(美元)Neuberger Berman Taipan T-S Eq USD N MD4.1516.43           
路博邁台日雙星股票基金T月配(日圓)Neuberger Berman Taipan T-S Eq JPY T MD8.4118.94           
路博邁台日雙星股票基金T累積(日圓)Neuberger Berman Taipan T-S Eq JPY T ACC8.4318.93           
路博邁台日雙星股票基金N累積(日圓)Neuberger Berman Taipan T-S Eq JPY N ACC8.3518.84           
路博邁台日雙星股票基金N月配(日圓)Neuberger Berman Taipan T-S Eq JPY N MD8.3218.85           




※報酬率以基金原始計價幣別計算一年以上期間為累積報酬率
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