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 USD-0.151.944.1616.513038.2927.77.8467.278.540.770.850.81
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 USD-0.151.934.1416.5230.0238.3627.727.8667.368.520.770.870.81
景順亞洲資產配置基金A股 美元Invesco Asia Asset Allc A USD Acc-4.171.764.2415.626.2331.142.989.7318.7611.980.43-2.731.11
景順亞洲資產配置基金A-季配息股 美元Invesco Asia Asset Allc A USD QD-4.151.774.215.6326.2531.123.039.7718.7511.980.43-2.741.11
景順亞洲資產配置基金C股 美元Invesco Asia Asset Allc C USD Acc-4.111.874.4716.1827.5633.225.8110.0925.5311.990.47-2.211.11
復華亞太平衡基金Fuh Hwa Asia Pacific Bal-26.712.1642.899.8899.53127.2781.8257.48174.1934.330.939.92.59
摩根亞太高息平衡基金-累積型JPMorgan (Taiwan) Pacific Balanced Acc1.84.086.4922.226.363532.9210.150.027.631.19-2.11.01
群益亞太新趨勢平衡基金Capital Asia-Pacific Mega-Trend Balance-24.75-2.3428.2279.797.15108.3571.7243.13136.9129.80.936.992.38
安聯亞太收益入息基金-A配息類股(美元)Allianz Asia Pacific Income A USD-4.914.2514.6134.0149.353.8773.221.1741.315.730.71.361.36
安聯亞洲多元收益基金-IT累積類股(美元)Allianz Asian Multi Inc Plus IT USD-5.055.2116.0836.1851.1660.2131.9623.4877.3414.070.863.21.26
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 USD-0.635.1411.5727.3936.4749.4729.5416.8659.2611.340.832.031.05
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 USD-0.565.3311.9728.3138.4752.7634.3317.3671.2411.350.92.761.05
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 USD-0.635.1411.5727.3936.4749.4829.5516.8659.311.340.832.031.05
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 USD-0.565.3311.9728.3238.4752.7634.3217.3671.0511.350.92.761.05
安聯亞洲多元收益基金-AT累積類股Allianz Asian Multi Inc Plus AT USD-5.15.0415.7135.349.2157.1427.7323.0166.3314.060.812.551.26
摩根亞太高息平衡基金-季配息型JPMorgan (Taiwan) Pacific Balanced Inc1.814.086.4822.1826.3534.9833.3910.0950.537.631.19-2.11.01
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 USD-0.171.934.1416.5130.0338.3427.767.8467.498.540.770.860.81
景順亞洲資產配置基金A-月配息股 美元Invesco Asia Asset Allc A USD MD-4.221.724.215.6126.1131.072.979.7718.6812.050.43-2.781.11
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-1-4.121.834.3415.6826.3431.143.19.918.8911.990.43-2.741.11
瀚亞亞太豐收平衡基金A-新台幣Eastspring Invsmts Asian Inc Bal TWD A0.064.187.3323.9722.0635.8721.8711.1234.157.471.24-0.990.86
瀚亞亞太豐收平衡基金B-新台幣Eastspring Invsmts Asian Inc Bal TWD B0.064.187.3323.9822.0635.8821.8711.1234.157.471.24-0.990.86
瀚亞亞太豐收平衡基金A-美元Eastspring Invsmts Asian Inc Bal USD A-1.352.14.5914.8524.1132.257.628.1831.028.850.58-0.80.83
瀚亞亞太豐收平衡基金B-美元Eastspring Invsmts Asian Inc Bal USD B-1.352.14.5914.8524.1132.257.598.1831.138.850.58-0.80.83
瀚亞亞太豐收平衡基金A-澳幣Eastspring Invsmts Asian Inc Bal AUD A-2.954.373.795.1415.3726.586.072.7334.587.090.47-1.210.89
瀚亞亞太豐收平衡基金B-澳幣Eastspring Invsmts Asian Inc Bal AUD B-2.954.373.795.1415.3726.585.972.7334.77.090.47-1.210.89
瀚亞亞太豐收平衡基金A-南非幣Eastspring Invsmts Asian Inc Bal ZAR A-0.431.097.324.4812.8722.7922.578.0660.87.480.04-1.190.89
瀚亞亞太豐收平衡基金B-南非幣Eastspring Invsmts Asian Inc Bal ZAR B-0.421.17.334.4912.8722.822.788.0762.247.480.04-1.190.88
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 TWD-7.69-7.145.7733.2556.7771.1455.5618.5285.8115.481.162.861.6
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 TWD-7.7-7.15.7533.2556.7571.1655.5518.4585.7715.471.162.871.6
瀚亞亞太豐收平衡基金A-人民幣Eastspring Invsmts Asian Inc Bal CNY A-1.920.91.547.5515.9925.0212.864.6838.027.150.93-0.830.84
瀚亞亞太豐收平衡基金B-人民幣Eastspring Invsmts Asian Inc Bal CNY B-1.920.911.547.5515.9825.0213.754.6838.217.150.93-0.830.84
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 USD-0.12.154.5817.532.2441.8933.248.3782.218.540.871.710.81
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 USD-5.15.0415.7135.349.2157.1427.7523.0166.5314.060.812.551.26
國泰亞太入息平衡基金-新台幣A(不配息)Cathay Asia-Pacific Income Bal Acc TWD-19.953.6635.3299.29101.33131.64108.1256.71150.3330.471.039.812.51
國泰亞太入息平衡基金-新台幣B(配息)Cathay Asia-Pacific Income Bal Inc TWD-19.933.6935.3799.35101.44131.77108.2556.75150.430.461.039.832.51
國泰亞太入息平衡基金-美元A(不配息)Cathay Asia-Pacific Income Bal Acc USD-21.071.631.8884.65104.75125.580.2352.59147.132.30.859.962.48
國泰亞太入息平衡基金-美元B(配息)Cathay Asia-Pacific Income Bal Inc USD-21.061.6231.984.67104.76125.5180.3152.6147.1832.290.859.972.48
國泰亞太入息平衡基金-人民幣A(不配息)Cathay Asia-Pacific Income Bal Acc CNH-21.530.4127.9672.9491.28113.0388.347.68150.6131.090.939.892.49
國泰亞太入息平衡基金-澳幣A(不配息)Cathay Asia-Pacific Income Bal Acc AUD-22.24.2330.836990.83115.7688.6345.04167.2729.390.819.592.54
元大新東協平衡基金-新台幣Yuanta New ASEAN Balanced TWD5.348.238.1326.933.0341.2939.4612.12 8.231.291.610.68
元大新東協平衡基金-美元Yuanta New ASEAN Balanced USD3.896.115.3217.5235.2637.5920.89.19 9.310.71.870.65
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 USD-8.43-8.294.3628.6161.3575.0751.3216.93 17.250.95.471.42
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 mth USD-0.251.663.5915.327.3434.0621.227.19 8.540.65-0.20.81
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 TWD-2.12.856.2819.8220.7520.382.019.71 7.710.68-6.161.05
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 TWD-2.272.656.0219.0119.4419.360.569.37 7.850.63-6.521.06
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 USD-2.532.45.8417.2125.2626.635.419.32 8.670.42-2.090.81
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 USD-2.532.45.8417.2125.2626.675.449.32 8.660.42-2.080.81
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 TWD-2.092.926.2119.3120.0919.761.939.6 7.790.65-6.41.06
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 TWD-1.93.016.3419.5120.1219.891.449.74 7.750.66-6.331.05
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 USD-2.532.45.8417.2125.2626.675.449.32 8.660.42-2.080.81
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 USD-2.532.45.8417.2125.2626.675.449.32 8.660.42-2.080.81
元大新東協平衡基金-人民幣Yuanta New ASEAN Balanced CNH3.254.822.1910.0426.3629.88 5.67 7.541.051.740.66




※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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