F02.基金績效評比( 晨星
星晨

日期
基金類別
基金名稱關鍵字
*資料以該公司公告為準 *特稿專區 *資料來源: 晨星(Morningstar)


【亞洲股債混合】
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
摩根基金 - 亞太入息基金 - JPM亞太入息(美元) - A股(分派)JPM Asia Pacific Income A (dist) USD5.992.176.4323.1432.8638.5823.575.7870.278.570.760.310.84
摩根基金 - 亞太入息基金 - JPM亞太入息 (美元) - A股(累計)JPM Asia Pacific Income A (acc) USD5.982.166.4723.1732.9138.6223.635.8170.368.550.760.330.84
景順亞洲資產配置基金A股 美元Invesco Asia Asset Allc A USD Acc9.12.437.4620.630.6232.49-3.377.8321.7111.080.47-2.61.06
景順亞洲資產配置基金A-季配息股 美元Invesco Asia Asset Allc A USD QD9.112.397.4720.6530.5832.52-3.367.8621.7111.080.47-2.61.06
景順亞洲資產配置基金C股 美元Invesco Asia Asset Allc C USD Acc9.172.557.7321.2432.0534.7-0.718.0728.711.10.52-2.061.06
復華亞太平衡基金Fuh Hwa Asia Pacific Bal35.6239.7764.67119.67107.61131.5981.5654.15171.6725.941.1610.142.13
摩根亞太高息平衡基金-累積型JPMorgan (Taiwan) Pacific Balanced Acc5.652.327.7721.4827.2233.7925.185.7848.827.781.13-3.111.04
群益亞太新趨勢平衡基金Capital Asia-Pacific Mega-Trend Balance30.431.2947.295.33115.2131.8873.2646.56139.5822.951.2810.012.06
安聯亞太收益入息基金-A配息類股(美元)Allianz Asia Pacific Income A USD14.749.9317.9740.7753.9647.7261.5416.2250.1314.780.63-0.271.3
安聯亞洲多元收益基金-IT累積類股(美元)Allianz Asian Multi Inc Plus IT USD13.1410.3319.4440.5350.3455.317.1517.3678.3712.920.831.921.2
施羅德傘型基金II-亞洲高息股債基金(美元)A-累積Schroder Asian Asset Income A Acc USD10.166.1211.7830.3836.6743.622.0711.1561.4510.80.730.291.03
施羅德傘型基金II-亞洲高息股債基金(美元)C-累積Schroder Asian Asset Income C Acc USD10.236.3112.1831.3338.6646.7626.5711.4273.610.80.81.021.03
施羅德傘型基金II-亞洲高息股債基金(美元)A-月配Schroder Asian Asset Income A Dis USD10.166.1211.7830.3836.6743.622.0711.1561.5310.790.730.291.03
施羅德傘型基金II-亞洲高息股債基金(美元)C-月配Schroder Asian Asset Income C Dis USD10.236.3112.1831.3338.6646.7626.5611.42 10.80.81.021.03
安聯亞洲多元收益基金-AT累積類股Allianz Asian Multi Inc Plus AT USD13.0810.1619.0639.6248.3952.3313.4617.1167.1512.910.781.271.2
摩根亞太高息平衡基金-季配息型JPMorgan (Taiwan) Pacific Balanced Inc5.642.37.7621.4627.233.7625.625.7749.317.781.13-3.111.04
摩根基金 - 亞太入息基金 - JPM亞太入息(美元) - A股(每月派息)JPM Asia Pacific Income A (mth) USD5.992.176.4523.1732.9138.6223.655.870.58.570.760.320.84
景順亞洲資產配置基金A-月配息股 美元Invesco Asia Asset Allc A USD MD9.222.447.4420.6330.732.58-3.367.9221.8111.140.47-2.611.07
景順亞洲資產配置基金A-穩定月配息股 美元Invesco Asia Asset Allc A USD MD-19.22.477.4520.5930.5232.48-3.337.9321.7611.090.47-2.611.06
瀚亞亞太豐收平衡基金A-新台幣Eastspring Invsmts Asian Inc Bal TWD A4.923.029.4117.6224.5636.5411.946.6634.97.531.26-1.20.84
瀚亞亞太豐收平衡基金B-新台幣Eastspring Invsmts Asian Inc Bal TWD B4.923.029.4117.6224.5636.5411.946.6634.97.531.26-1.20.84
瀚亞亞太豐收平衡基金A-美元Eastspring Invsmts Asian Inc Bal USD A6.022.446.318.9928.0832.630.845.9535.298.480.59-1.030.82
瀚亞亞太豐收平衡基金B-美元Eastspring Invsmts Asian Inc Bal USD B6.022.446.318.9928.0832.630.815.9535.48.480.59-1.040.82
瀚亞亞太豐收平衡基金A-澳幣Eastspring Invsmts Asian Inc Bal AUD A1.64-0.56-3.235.9515.6922.190.84-1.5736.836.340.5-1.320.88
瀚亞亞太豐收平衡基金B-澳幣Eastspring Invsmts Asian Inc Bal AUD B1.64-0.56-3.235.9515.6822.190.56-1.5737.376.340.5-1.320.88
瀚亞亞太豐收平衡基金A-南非幣Eastspring Invsmts Asian Inc Bal ZAR A4.226.172.486.913.8421.2118.676.970.678.78-0.01-1.40.88
瀚亞亞太豐收平衡基金B-南非幣Eastspring Invsmts Asian Inc Bal ZAR B4.226.172.486.8913.8421.2118.866.972.488.78-0.01-1.40.88
聯博多重資產傘型基金之聯博亞太多重資產基金-A2類型(新台幣)ABITL Asia Pacific Multi-Asset A2 TWD16.4113.929.4662.0178.8395.0669.2127.63107.1614.451.546.671.56
聯博多重資產傘型基金之聯博亞太多重資產基金-AD類型(新台幣)ABITL Asia Pacific Multi-Asset AD TWD16.3913.8429.3562.0178.6895.269.2427.51107.1414.431.546.691.56
瀚亞亞太豐收平衡基金A-人民幣Eastspring Invsmts Asian Inc Bal CNY A5.020.631.9511.8620.6530.896.523.7445.966.891.18-1.060.82
瀚亞亞太豐收平衡基金B-人民幣Eastspring Invsmts Asian Inc Bal CNY B5.020.631.9511.8620.6530.897.53.7446.286.891.18-1.060.82
摩根基金 - 亞太入息基金 - JPM亞太入息(美元) - I股(累計)JPM Asia Pacific Income I (acc) USD6.062.386.924.2235.1642.1728.956.0985.528.570.861.170.84
安聯亞洲多元收益基金-AMg穩定月收總收益類股(美元)Allianz Asian Multi Inc Plus AMg USD13.0810.1619.0639.6248.3952.3313.4517.1167.1912.910.781.271.2
國泰亞太入息平衡基金-新台幣A(不配息)Cathay Asia-Pacific Income Bal Acc TWD30.0330.5453.14101.39105.77142.3100.9251.18151.0624.41.2811.332.13
國泰亞太入息平衡基金-新台幣B(配息)Cathay Asia-Pacific Income Bal Inc TWD30.0430.5553.15101.43105.82142.36100.9951.18151.0624.41.2811.342.13
國泰亞太入息平衡基金-美元A(不配息)Cathay Asia-Pacific Income Bal Acc USD31.429.8148.79103.75111.58135.3677.450.19155.4226.011.0411.472.11
國泰亞太入息平衡基金-美元B(配息)Cathay Asia-Pacific Income Bal Inc USD31.3929.848.8103.72111.61135.3577.5150.17155.79261.0411.472.11
國泰亞太入息平衡基金-人民幣A(不配息)Cathay Asia-Pacific Income Bal Acc CNH30.327.4442.7291.4799.25132.1187.5247.08168.4124.681.2211.372.12
國泰亞太入息平衡基金-澳幣A(不配息)Cathay Asia-Pacific Income Bal Acc AUD25.925.5235.2481.1290.17116.1991.3639.16169.921.710.9911.082.18
元大新東協平衡基金-新台幣Yuanta New ASEAN Balanced TWD1.2-0.097.0516.2629.4734.5630.73.6 8.241.1-1.010.76
元大新東協平衡基金-美元Yuanta New ASEAN Balanced USD2.2-0.743.9917.63330.7115.332.91 9.360.49-0.780.73
聯博多重資產傘型基金之聯博亞太多重資產基金-A2類型(美元)ABITL Asia Pacific Multi-Asset A2 USD17.2213.7927.8564.8286.21100.2566.7227.49 16.041.239.471.39
摩根基金 - 亞太入息基金 - JPM亞太入息(美元) - F股(每月派息)JPM Asia Pacific Income F (inc) USD5.91.95.921.930.1534.3317.335.44 8.570.64-0.740.84
宏利亞洲收益成長多重資產基金A類型(新臺幣)Manulife Asian Multi-Asset Inc A TWD5.223.347.5819.1619.3318.27 6.67 7.310.63-7.021
宏利亞洲收益成長多重資產基金B類型(新臺幣)Manulife Asian Multi-Asset Inc B TWD5.343.297.0918.4118.3917.33 6.55 7.420.59-7.361.01
宏利亞洲收益成長多重資產基金A類型(美元)Manulife Asian Multi-Asset Inc A USD5.893.366.7121.0624.7224.71 6.76 8.170.36-2.840.78
宏利亞洲收益成長多重資產基金B類型(美元)Manulife Asian Multi-Asset Inc B USD5.893.366.7121.0624.7224.75 6.77 8.160.36-2.820.78
宏利亞洲收益成長多重資產基金NB類型(新臺幣)Manulife Asian Multi-Asset Inc NB TWD5.343.27.2318.6618.5217.49 6.49 7.380.6-7.311.02
宏利亞洲收益成長多重資產基金NA類型(新臺幣)Manulife Asian Multi-Asset Inc NA TWD5.33.237.218.5418.5517.6 6.53 7.380.6-7.261.01
宏利亞洲收益成長多重資產基金NB類型(美元)Manulife Asian Multi-Asset Inc NB USD5.893.366.7121.0624.7224.75 6.77 8.160.36-2.820.78
宏利亞洲收益成長多重資產基金NA類型(美元)Manulife Asian Multi-Asset Inc NA USD5.893.366.7121.0624.7224.75 6.77 8.160.36-2.820.78
元大新東協平衡基金-人民幣Yuanta New ASEAN Balanced CNH1.39-2.51-0.2410.5825.28  0.81     




※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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