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)


【環球新興市場企業債券】
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
安本基金 - 新興市場公司債券基金 A 月配息 美元abrdn-Emerg Mrkt Corp Bond A M Inc USD-0.50.50.95.0713.3123.258.251.5837.044.10.60.70.8
安本基金 - 新興市場公司債券基金 A 累積 美元abrdn-Emerg Mrkt Corp Bond A Acc USD-0.50.50.95.0713.3123.738.671.5837.584.090.640.830.79
晉達環球策略基金 - 新興市場公司債券基金 A 累積股份Ninety One GSF EM Corp Dbt A Acc USD-0.33-0.030.393.6310.721.133.921.2132.725.360.36-0.331.02
晉達環球策略基金 - 新興市場公司債券基金 C 累積股份Ninety One GSF EM Corp Dbt C Acc USD-0.4-0.24-0.072.718.7117.86-0.670.6821.945.370.19-1.251.02
晉達環球策略基金 - 新興市場公司債券基金 I 累積股份Ninety One GSF EM Corp Dbt I Acc USD-0.260.210.794.4812.4624.068.111.744.385.350.510.481.02
安本基金 - 新興市場公司債券基金 I 累積 美元abrdn-Emerg Mrkt Corp Bond I Acc USD-0.430.71.35.9115.1226.713.052.0548.424.090.831.630.79
景順新興市場企業債券基金A股 美元Invesco Emerging Mkt Corp Bd A USD Acc-0.68-0.22-0.243.1610.3522.184.010.4528.414.440.490.290.85
景順新興市場企業債券基金C股 美元Invesco Emerging Mkt Corp Bd C USD Acc-0.62-0.070.063.7811.6824.47.180.836.44.440.630.90.85
景順新興市場企業債券基金A-固定月配息股 美元Invesco Emerging Mkt Corp Bd A USD MD-0.67-0.22-0.243.1610.3522.183.990.4528.424.440.490.290.85
聯博-新興市場公司債券基金A2級別美元AB Emerging Market Corp Debt A2 USD-0.510-0.122.368.3517.856.570.7637.114.260.23-0.840.81
聯博-新興市場公司債券基金S1級別美元AB Emerging Market Corp Debt S1 USD-0.490.140.183.019.7920.3210.441.1448.564.270.39-0.140.81
柏瑞ESG新興市場企業策略債券基金-A類型PineBridge ESG EM Corp Strgy Bd A0.140.660.196.173.6511.92-0.150.937.114.470.58-41.08
柏瑞ESG新興市場企業策略債券基金-B類型PineBridge ESG EM Corp Strgy Bd B0.140.660.196.173.6611.92-0.140.937.134.470.58-41.08
晉達環球策略基金 - 新興市場公司債券基金 C 收益-2 股份Ninety One GSF EM Corp Dbt C Inc-2 USD-0.43-0.25-0.072.688.717.86-0.750.6321.95.320.19-1.231.01
晉達環球策略基金 - 新興市場公司債券基金 A 收益-2 股份 (月配)Ninety One GSF EM Corp Dbt A Inc-2 USD-0.35-0.040.383.6110.6621.033.851.2232.655.380.36-0.361.02
晉達環球策略基金 - 新興市場公司債券基金 IX 收益-2 股份Ninety One GSF EM Corp Dbt IX Inc-2 USD-0.250.190.724.3712.3323.837.821.6143.775.330.50.421.01
安本基金 - 新興市場公司債券基金 X 月配息 美元abrdn-Emerg Mrkt Corp Bond X M Inc USD-0.440.691.285.8615.0225.9712.312.0247.154.10.781.430.8
安本基金 - 新興市場公司債券基金 X 累積 美元abrdn-Emerg Mrkt Corp Bond X Acc USD-0.430.691.285.8615.0226.5412.822.0247.824.090.821.590.79
永豐新興市場企業債券基金-新臺幣累積類型SinoPac EmergingMarkets Corporate Bd Acc-0.43-0.08-0.744.480.828.5-2.72-0.68-2.344.280.36-4.670.89
永豐新興市場企業債券基金-新臺幣月配類型SinoPac EmergingMarkets Corporate Bd Dis-0.43-0.08-0.744.480.828.5-2.72-0.68-2.374.280.36-4.670.9
玉山新興市場企業債券基金-新臺幣月配息型E.SUN Emrg Mrkt Corp Bd B0.281.081.296.246.0816.1310.21.8815.584.020.95-2.761.08
玉山新興市場企業債券基金-新臺幣累積型E.SUN Emrg Mrkt Corp Bd A0.281.081.296.246.0716.1310.211.8815.54.020.95-2.751.08
瑞聯UBAM新興市場收益機會債券基金美元 ACUBAM EM Responsible Income Opps AC USD-1.89-0.88-1.313.199.118.560.26-0.5119.765.030.24-0.990.98
瑞聯UBAM新興市場收益機會債券基金美元 ADUBAM EM Responsible Income Opps AD USD-1.9-0.88-1.323.29.118.550.26-0.5119.85.030.24-0.990.99
晉達環球策略基金 - 新興市場公司債券基金 I 累積股份 (歐元)Ninety One GSF EM Corp Dbt I Acc EUR-1.251.863.813.435.3918.3211.173.4639.796.80.450.291.03
瑞聯UBAM新興市場收益機會債券基金美元 ICUBAM EM Responsible Income Opps IC USD-1.85-0.73-1.013.8510.520.853.51-0.1427.655.030.37-0.350.99
聯博-新興市場公司債券基金AA(穩定月配)級別美元AB Emerging Market Corp Debt AA USD-0.490.02-0.092.4   0.84     
柏瑞ESG新興市場企業策略債券基金-B類型(人民幣)PineBridge ESG EM Corp Strgy Bd RMB B-1.02-1.23-2.45-0.542.186.84-6.65-1.9217.913.830.31-2.921.17
永豐新興市場企業債券基金-人民幣累積類型SinoPac Emerging Markets Corp Bd RMB Acc-2.49-3.39-6.09-9.34-4.39-0.4-12.06-6.644.833.88-0.3-4.610.83
永豐新興市場企業債券基金-人民幣月配類型SinoPac Emerging Markets Corp Bd RMB Inc-2.46-3.37-6.07-9.32-4.36-0.36-11.97-6.62-0.583.88-0.29-4.60.83
柏瑞ESG新興市場企業策略債券基金-A類型(美元)PineBridge ESG EM Corp Strgy Bd USD A-0.71-0.46-0.982.67.8614.86-1.15-0.2216.564.190.02-1.720.82
柏瑞ESG新興市場企業策略債券基金-B類型(美元)PineBridge ESG EM Corp Strgy Bd USD B-0.72-0.47-0.982.67.8814.88-1.16-0.2116.534.190.02-1.710.82
柏瑞ESG新興市場企業策略債券基金-N類型(美元)PineBridge ESG EM Corp Strgy Bd USD N-0.72-0.46-0.992.597.8714.86-1.16-0.2216.574.190.02-1.720.82
柏瑞ESG新興市場企業策略債券基金-N9類型(美元)PineBridge ESG EM Corp Strgy Bd USD N9-0.72-0.46-0.992.597.8514.85-1.16-0.2216.534.190.02-1.720.82
柏瑞ESG新興市場企業策略債券基金-A類型(人民幣)PineBridge ESG EM Corp Strgy Bd CNH A-1.02-1.23-2.45-0.542.146.83-6.66-1.9217.833.830.31-2.931.17
柏瑞ESG新興市場企業策略債券基金-N類型(人民幣)PineBridge ESG EM Corp Strgy Bd CNH N-1.02-1.23-2.45-0.542.186.86-6.63-1.9217.933.830.31-2.921.17
柏瑞ESG新興市場企業策略債券基金-N9類型(人民幣)PineBridge ESG EM Corp Strgy Bd CNH N9-1.02-1.23-2.45-0.542.156.8-6.69-1.9217.853.830.31-2.941.17
柏瑞ESG新興市場企業策略債券基金-N類型(台幣)PineBridge ESG EM Corp Strgy Bd N0.140.660.196.173.6711.93-0.140.937.124.470.58-41.08
柏瑞ESG新興市場企業策略債券基金-N9類型(台幣)PineBridge ESG EM Corp Strgy Bd N90.140.660.196.173.6511.92-0.140.937.14.470.58-41.08
安本基金 - 新興市場公司債券基金 A 月中配息 美元abrdn-Emerg Mrkt Corp Bond A M Inc AUSD-0.50.50.95.0713.3123.748.691.5837.594.090.640.830.79
柏瑞ESG新興市場企業策略債券基金-N類型(南非幣)PineBridge ESG EM Corp Strgy Bd N ZAR-0.410.070.72.8810.5819.6512.140.61 4.23-0.180.591.71
瑞聯UBAM新興市場收益機會債券基金美元 IDUBAM EM Responsible Income Opps ID USD-1.84-0.72-1.013.8510.520.863.51-0.14 5.030.37-0.340.99
景順新興市場企業債券基金A-穩定月配息股 美元Invesco Emerging Mkt Corp Bd A USD MD1-0.68-0.22-0.243.1710.3622.194.020.45 4.440.490.290.85
玉山新興市場企業債券基金-美元累積型E.SUN Emrg Mrkt Corp Bd C-0.5-0.69           
玉山新興市場企業債券基金-美元月配息型E.SUN Emrg Mrkt Corp Bd D-0.510.10.142.9610.3219.176.180.75 4.10.33-0.470.81
復華新興市場企業債券ETF基金Fuh Hwa Emerging Market Credit Bond ETF-1.73-0.21-0.819.024.2515.164.46-0.83 9.450.41  
富邦中國以外新興市場美元5年以上投資等級債券ETFFubon EM USD Investment Grade Bond ETF-0.440.70.5610.746.0318.239.950.89 7.550.61  
安本基金 - 新興市場公司債券基金 I 月配息 美元abrdn-Emerg Mrkt Corp Bond I M Inc USD-0.430.71.35.9115.1226.1212.542.05 4.10.791.470.8
柏瑞ESG新興市場企業策略債券基金-I類型PineBridge ESG EM Corp Strgy Bd I0.190.820.496.814.913.952.91.28 4.480.71-3.41.08
永豐新興市場企業債券基金-南非幣累積類型SinoPac Emerging Markets Corp Bd ZAR Acc-1.2-3.670.3-11.41-7.31-1.45-6.68-3.77 7.67-0.92-4.650.96
永豐新興市場企業債券基金-南非幣月配類型SinoPac Emerging Markets Corp Bd ZAR Inc-1.55-4.7-1.84-15.11-14.84-13.06-46.37-6.18 7.65-1.47-8.820.96
聯博-新興市場公司債券基金SA(穩定月配)級別美元AB Emerging Market Corp Debt SA USD-0.410.340.543.74   1.58     




※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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