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)


【新台幣平衡型股債混合】
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
群益平衡王基金Capital Value Balance2.746.5817.6116.1425.0972.1689.9816.14147.9312.831.39  
兆豐萬全基金-A類型Mega Balanced Fund A4.2415.2733.5913.8622.443.7873.7513.86208.7616.50.74  
匯豐安富基金HSBC Taiwan Safe and Rich3.0613.0733.6929.3552.6989.488.6929.35182.9115.011.42  
聯邦金鑽平衡基金-A累積型(新臺幣)Union Golden Balanced Fund A TWD3.3118.3830.6732.7952.1998.1593.9332.79319.4314.441.58  
復華全球平衡基金-新臺幣Fuh Hwa Global Balanced TWD1.9114.1137.3233.9747.8875.1953.1433.97129.415.961.18  
野村鑫平衡組合基金-累積類型Nomura Global Balanced Port1.46.9416.1810.0927.844.1941.3810.0990.418.381.36  
柏瑞旗艦全球平衡組合基金PineBridge Flagship Global Balance FoFs1.274.3810.538.3723.0134.4921.438.3751.976.421.39  
第一金中概平衡基金FSITC Greater China Balanced4.8420.0450.7343.565.64115.94116.6943.5311.7916.51.58  
瀚亞股債入息組合基金A-新台幣Eastspring Investment Quality Quan A TWD0.724.7712.157.2826.3842.52387.2869.947.11.53  
元大全球ETF穩健組合基金-新台幣A類型Yuanta Global ETFs Stable Fund of Funds0.635.6412.937.8523.6435.8633.747.8544.537.641.22  
台新高股息平衡基金(累積型)Taishin Hi Div Yield Balanced A-1.22-4.353.63-3.8624.1883.26105.76-3.86260.1215.51.31  
群益多重資產組合基金Capital Multi-Asset Allocation1.265.114.257.3227.9145.9627.137.32739.971.2  
野村鴻利基金Nomura Taiwan Dynamic Asset Allocation2.7215.3341.2737.6360.96145.77163.0237.63464.7417.831.72  
瀚亞理財通基金A類型–新台幣Eastspring Investments Balance A2.115.3715.0112.5629.4551.4956.1112.56155.749.341.4  
PGIM保德信金平衡基金PGIM Balanced3.0510.4924.0522.1144.5278.9274.9922.11215.3211.371.67  
復華傳家基金Fuh Hwa Heirloom Balanced4.7321.3147.5343.0671.69123.5393.2243.06223.1118.41.49  
群益真善美基金Capital Balance313.8836.2324.2225.8861.791.9424.22109.6417.210.95  
柏瑞全球金牌組合基金PineBridge Global Medallion FoFs1.554.3810.278.0221.5933.9120.988.0248.096.231.4  
摩根全球平衡基金JPMorgan (Taiwan) Global Balanced1.245.5111.9111.3514.9919.66-5.8311.3522.447.020.71  
摩根平衡基金JPMorgan (Taiwan) Balanced3.579.8326.9729.5554.4297.1391.7829.55189.9113.261.69  
復華奧林匹克全球優勢組合基金-新臺幣AFuh Hwa Olympic II Fund of Funds TWD A0.886.0514.078.725.4643.0532.348.767.937.611.45  
瀚亞股債入息組合基金B-新台幣Eastspring Investment Quality Quan B TWD0.724.7712.157.2826.3842.5238.257.2869.637.11.53  
安聯四季雙收入息組合基金-A類型(累積)-新臺幣Allianz Glbl Inv All Sns DouIncFOF A1.056.5715.579.528.2746.9942.989.573.097.341.63  
安聯四季雙收入息組合基金-B類型(月配息)-新臺幣Allianz Glbl Inv All Sns DouIncFOF B1.066.6215.599.5128.2446.9843.049.5172.617.371.62  
聯博收益傘型基金之聯博多元資產收益組合基金-A2類型(新台幣)ABITL Income Umb Mlti-ast Inc FOF A2 TWD0.512.918.198.5921.4834.527.88.5958.746.731.32  
聯博收益傘型基金之聯博多元資產收益組合基金-AD類型(新台幣)ABITL Income Umb Mlti-ast Inc FOF AD TWD0.482.838.148.621.4134.4827.738.658.66.751.32  
聯邦環太平洋平衡基金-A類型(新臺幣)Union APEC Balanced TWD A1.0411.3127.8826.9344.3269.3163.1426.93147.3410.781.58  
聯邦環太平洋平衡基金-B類型(新臺幣)Union APEC Balanced TWD B1.0411.2227.6627.444.1269.2162.0327.4145.3210.851.57  
安聯四季雙收入息組合基金-A類型(累積)-美元Allianz Glbl Inv All Sns DouIncFOF$A0.953.319.914.1225.3543.4229.6614.1282.097.70.97  
安聯四季雙收入息組合基金-B類型(月配息)-美元Allianz Glbl Inv All Sns DouIncFOF$B1.023.359.9614.1525.4943.5329.714.1580.77.660.98  
摩根多元入息成長基金-累積型JPMorgan (Taiwan) Multi Inc FOF TWD Acc0.662.945.188.0114.0120.3916.778.0138.825.940.87  
摩根多元入息成長基金-月配息型JPMorgan (Taiwan) Multi Inc FOF TWD Inc0.662.945.218.1214.1120.4516.758.1238.245.930.87  
摩根多元入息成長基金-月配息型(美元)JPMorgan (Taiwan) Multi Inc FOF USD Inc0.582.065.7511.0920.2130.7126.6211.0965.396.250.68  
摩根多元入息成長基金-月配息型(人民幣)JPMorgan (Taiwan) Multi Inc FOF RMB Inc-0.060.823.817.1914.4322.723.297.1974.25.561.06  
聯博多重資產傘型基金之聯博歐洲多重資產基金-A2類型(新台幣)ABITL European Multi-Asset A2 TWD3.35.439.8923.1326.6940.931.8123.1341.948.91.19  
聯博多重資產傘型基金之聯博歐洲多重資產基金-AD類型(新台幣)ABITL European Multi-Asset AD TWD3.335.419.9923.1126.6541.0131.9223.1142.028.921.2  
聯博收益傘型基金之聯博多元資產收益組合基金-A2類型(美元)ABITL Income Umb Mlti-ast Inc FOF A2 USD0.562.036.9413.6224.0239.3127.113.6278.597.860.83  
聯博收益傘型基金之聯博多元資產收益組合基金-AD類型(美元)ABITL Income Umb Mlti-ast Inc FOF AD USD0.552.086.9513.724.0739.327.1313.779.057.860.83  
聯博收益傘型基金之聯博多元資產收益組合基金-A2類型(人民幣)ABITL Income Umb Mlti-ast Inc FOF A2 RMB0.321.355.3710.4117.2427.9519.2510.4181.787.80.95  
聯博收益傘型基金之聯博多元資產收益組合基金-AD類型(人民幣)ABITL Income Umb Mlti-ast Inc FOF AD RMB0.321.385.3910.517.2828.0119.2810.581.217.840.95  
聯博收益傘型基金之聯博多元資產收益組合基金-AD類型(澳幣)ABITL Income Umb Mlti-ast Inc FOF AD AUD0.471.796.3612.1420.9733.317.9912.1459.917.880.27  
聯博收益傘型基金之聯博多元資產收益組合基金-AD類型(南非幣)ABITL Income Umb Mlti-ast Inc FOF ADRand0.752.618.1215.9429.749.2545.4215.94156.757.880.88  
群益環球金綻雙喜基金A(累積型-新台幣)Capital Global Abundant Inc FOF TWD Acc0.44.9112.796.6123.0333.7714.586.6152.167.021.25  
群益環球金綻雙喜基金B(月配型-新台幣)Capital Global Abundant Inc FOF TWD Inc0.374.9812.796.6423.1433.7514.586.6452.096.971.25  
群益環球金綻雙喜基金A(累積型-美元)Capital Global Abundant Inc FOF USD Acc0.281.657.2110.1620.2833.538.9110.1671.048.050.63  
群益環球金綻雙喜基金B(月配型-美元)Capital Global Abundant Inc FOF USD Inc0.281.657.2110.1620.2833.538.9110.1671.048.050.63  
群益環球金綻雙喜基金A(累積型-澳幣)Capital Global Abundant Inc FOF AUD Acc-0.231.176.367.8117.8528.844.377.8158.477.740.2  
群益環球金綻雙喜基金B(月配型-澳幣)Capital Global Abundant Inc FOF AUD Inc-0.241.176.367.8117.8428.834.367.8158.467.740.2  
群益環球金綻雙喜基金A(累積型-南非幣)Capital Global Abundant Inc FOF Rand Acc-0.061.577.459.322.6742.0426.359.3119.987.80.67  
群益環球金綻雙喜基金B(月配型-南非幣)Capital Global Abundant Inc FOF Rand Inc-0.061.577.459.2922.6642.0326.359.29119.917.80.67  
安聯四季雙收入息組合基金-B類型(月配息)-人民幣Allianz Glbl Inv All Sns Dou IncFOFRMB B-0.41.087.18.7923.2843.6439.058.7993.346.721.68  
野村動態配置多重資產基金-累積類型新臺幣計價Nomura Global Dyn Multi-Asst Acc TWD-0.33.8910.723.2317.0337.6111.53.2352.3111.350.89  
野村動態配置多重資產基金-月配類型新臺幣計價Nomura Global Dyn Multi-Asst Dis TWD-0.33.8910.713.2317.0337.6111.493.2352.2911.350.89  
野村動態配置多重資產基金-累積類型美元計價Nomura Global Dyn Multi-Asst Acc USD-0.321.687.087.4616.7438.494.97.4662.8412.780.53  
野村動態配置多重資產基金-月配類型美元計價Nomura Global Dyn Multi-Asst Dis USD-0.321.687.087.4616.7438.494.897.4662.8612.780.53  
野村動態配置多重資產基金-累積類型人民幣計價Nomura Global Dyn Multi-Aset Acc CNY-1.6-1.13.163.519.6826.85-0.483.5165.4112.930.59  
野村動態配置多重資產基金-月配類型人民幣計價Nomura Global Dyn Multi-Asst Dis CNY-1.55-0.933.43.549.826.9-0.433.5465.1212.870.6  
野村動態配置多重資產基金-累積類型澳幣計價Nomura Global Dyn Multi-Asst Acc AUD-1.69-0.473.294.3115.2134.581.844.3154.5212.530.27  
野村動態配置多重資產基金-月配類型澳幣計價Nomura Global Dyn Multi-Asst Dis AUD-1.53-0.153.824.5215.3734.771.894.5256.9412.470.28  
野村動態配置多重資產基金-累積類型南非幣計價Nomura Global Dyn Multi-Asst Acc ZAR-0.970.615.36.6417.5545.6119.236.64139.9113.380.5  
野村動態配置多重資產基金-月配類型南非幣計價Nomura Global Dyn Multi-Asst Dis ZAR-0.731.176.257.2818.4745.9718.787.2813313.160.51  
聯博多重資產傘型基金之聯博歐洲多重資產基金-AD類型(美元)ABITL European Multi-Asset AD USD2.54.128.0821.6728.3444.1344.6621.6773.628.60.9  
聯博多重資產傘型基金之聯博歐洲多重資產基金-AD類型(人民幣)ABITL European Multi-Asset AD RMB2.253.456.5217.6220.7331.6634.8317.6273.548.540.99  
復華奧林匹克全球優勢組合基金-美元Fuh Hwa Olympic II Fund of Funds USD0.853.249.3114.2823.5342.1226.9614.28 8.550.85  
瀚亞股債入息組合基金A-美元Eastspring Investment Quality Quan A USD00000000 0-29.48  
瀚亞股債入息組合基金B-人民幣Eastspring Investment Quality Quan B CNY-0.340.255.286.6322.6142.4230.956.63 7.411.49  
復華全球平衡基金-美元Fuh Hwa Global Balanced USD1.8411.232.1841.5546.373.1640.3941.55 17.880.84  
新光美國豐收平衡基金(A累積)新臺幣Shin Kong US Harvest Balanced TWD A-0.512.748-1.946.0313.278.61-1.94 7.260.44  
新光美國豐收平衡基金(B配息)新臺幣Shin Kong US Harvest Balanced TWD B-0.622.757.94-1.985.9613.38.57-1.98 7.270.44  
新光美國豐收平衡基金(A累積)美元Shin Kong US Harvest Balanced USD A-0.66-0.420.52.313.1910.83-2.842.31 6.97-0.17  
新光美國豐收平衡基金(B配息)美元Shin Kong US Harvest Balanced USD B-0.59-0.290.532.353.2810.92-2.852.35 7.02-0.17  
柏瑞環球多元資產基金-A類型PineBridge Global Multi -Asset A TWD0.962.98.639.0519.125.9711.099.05 6.741  
柏瑞環球多元資產基金-B類型PineBridge Global Multi -Asset B TWD0.962.918.649.0619.1125.9611.069.06 6.741  
柏瑞環球多元資產基金-N類型PineBridge Global Multi -Asset N TWD0.962.98.649.0619.125.9511.069.06 6.741  
柏瑞環球多元資產基金-A類型(美元)PineBridge Global Multi -Asset A USD1.011.626.6812.8621.6431.3212.6212.86 7.950.57  
柏瑞環球多元資產基金-B類型(美元)PineBridge Global Multi -Asset B USD1.011.626.6912.8821.6531.3112.5812.88 7.950.57  
柏瑞環球多元資產基金-N類型(美元)PineBridge Global Multi -Asset N USD1.011.626.6912.8821.6531.3112.5912.88 7.950.57  
柏瑞環球多元資產基金-A類型(人民幣)PineBridge Global Multi -Asset A CNH0.580.745.019.8116.6423.548.499.81 7.290.85  
柏瑞環球多元資產基金-B類型(人民幣)PineBridge Global Multi -Asset B CNH0.580.745.029.8316.6723.548.469.83 7.290.85  
柏瑞環球多元資產基金-N類型(人民幣)PineBridge Global Multi -Asset N CNH0.580.745.029.8316.6723.548.469.83 7.290.85  
柏瑞環球多元資產基金-A類型(南非幣)PineBridge Global Multi -Asset A ZAR0.411.226.2112.1424.1641.3333.412.14 7.290.69  
柏瑞環球多元資產基金-B類型(南非幣)PineBridge Global Multi -Asset B ZAR0.411.226.2212.1924.2141.3433.3512.19 7.280.69  
柏瑞環球多元資產基金-N類型(南非幣)PineBridge Global Multi -Asset N ZAR0.411.226.2212.1924.2141.3433.412.19 7.280.69  
富蘭克林華美多重資產收益基金-新台幣分配型Franklin Templeton SAm MA Inc Ba TWD Inc-0.714.7211.437.0930.9447.1743.957.09 7.861.53  
富蘭克林華美多重資產收益基金-美元累積型Franklin Templeton SAm MA Inc Ba USD Acc-0.851.45.9311.5327.8643.7130.3911.53 8.770.87  
富蘭克林華美多重資產收益基金-美元分配型Franklin Templeton SAm MA Inc Ba USD Inc-0.891.45.8311.5527.7943.5330.3211.55 8.750.87  
富蘭克林華美多重資產收益基金-人民幣累積型Franklin Templeton SAm MA Inc Ba CNH Acc-2.22-0.753.266.0925.244.8840.026.09 8.071.44  
富蘭克林華美多重資產收益基金-人民幣分配型Franklin Templeton SAm MA Inc Ba CNH Inc-2.18-0.663.36.0625.2544.8439.946.06 8.021.45  
富蘭克林華美多重資產收益基金-南非幣累積型Franklin Templeton SAm MA Inc Ba ZAR Acc-4.06-2.75-1-1.9815.2939.5546.89-1.98 11.450.44  
富蘭克林華美多重資產收益基金-南非幣分配型Franklin Templeton SAm MA Inc Ba ZAR Inc-4.08-2.68-0.83-1.8615.5139.847.07-1.86 11.370.44  
富蘭克林華美多重資產收益基金-新台幣累積型Franklin Templeton SAm MA Inc Ba TWD Acc-0.824.5911.386.9730.7647.1243.796.97 7.821.54  
野村多元收益多重資產基金-累積類型新臺幣計價Nomura Multi Income Multi-Asset TWD Acc-0.882.748.044.6518.4936.3323.64.65 8.541.11  
野村多元收益多重資產基金-月配類型新臺幣計價Nomura Multi Income Multi-Asset TWD Inc-0.882.778.114.6418.5636.4323.764.64 8.541.11  
野村多元收益多重資產基金-累積類型美元計價Nomura Multi Income Multi-Asset USD Acc-0.880.454.48.8419.4739.4419.158.84 9.470.71  
野村多元收益多重資產基金-月配類型美元計價Nomura Multi Income Multi-Asset USD Inc-0.880.454.398.8319.4539.4319.178.83 9.470.71  
野村多元收益多重資產基金-累積類型人民幣計價Nomura Multi Income Multi-Asset CNH Acc-1.43-0.592.595.3413.7829.815.125.34 9.180.88  
野村多元收益多重資產基金-月配類型人民幣計價Nomura Multi Income Multi-Asset CNH Inc-1.41-0.562.625.4113.8229.815.045.41 9.20.87  
台新全球多元資產組合基金(累積型)-新臺幣Taishin Global Multi-asset FOF TWD A0.534.2212.066.8924.0741.7129.636.89 7.581.42  
台新全球多元資產組合基金(月配息型)-新臺幣Taishin Global Multi-asset FOF TWD B0.634.3212.166.9624.2241.8129.86.96 7.571.42  
台新全球多元資產組合基金(累積型)-美元Taishin Global Multi-asset FOF USD A0.51.076.6611.4821.3838.5417.6511.48 9.030.71  
台新全球多元資產組合基金(月配息型)-美元Taishin Global Multi-asset FOF USD B0.491.056.6411.4521.3438.4517.5411.45 9.010.71  
PGIM保德信多元收益組合基金-新台幣累積型PGIM Multi-Inc FOF TWD A1.025.2511.667.2320.433.1125.177.23 6.821.26  
PGIM保德信多元收益組合基金-新台幣月配息型PGIM Multi-Inc FOF TWD B1.025.2511.677.2420.4133.1125.157.24 6.821.26  
PGIM保德信多元收益組合基金-美元累積型PGIM Multi-Inc FOF USD C12.897.7612.0720.2934.0519.2912.07 8.090.65  
PGIM保德信多元收益組合基金-美元月配息型PGIM Multi-Inc FOF USD D12.897.7512.0620.2834.0119.2112.06 8.090.65  
富蘭克林華美亞太平衡基金-新台幣(累積型)Franklin Templeton SAm Asia Pac Bal Acc1.275.214.3319.8943.1952.194.3119.89 8.251.6  
富蘭克林華美亞太平衡基金-新台幣(分配型)Franklin Templeton SAm Asia Pac Bal Inc1.245.2414.3719.9443.1852.314.2919.94 8.221.61  
富蘭克林華美亞太平衡基金-美元(累積型)Franklin Templeton SAm Asia Pac Bal $Acc1.453.2511.6825.4342.8952.57-2.125.43 9.990.98  
富蘭克林華美亞太平衡基金-美元(分配型)Franklin Templeton SAm Asia Pac Bal $Inc1.383.1911.5625.3142.8552.5-2.1625.31 9.990.97  
富蘭克林華美亞太平衡基金-人民幣(分配型)Franklin Templeton SAm Asia Pac Bal CNH0.842.069.6621.0534.2939.38-8.0921.05 9.791.07  
群益金選報酬平衡基金B(月配型-新台幣)Capital Golden Choice Balance TWD B-0.064.4311.028.1430.7747.0229.118.14 6.361.87  
群益金選報酬平衡基金A(累積型-美元)Capital Golden Choice Balance USD A-0.121.596.2512.5629.0545.5921.6412.56 7.091.12  
群益金選報酬平衡基金B(月配型-美元)Capital Golden Choice Balance USD B-0.121.596.2512.5629.0545.5921.6312.56 7.081.12  
群益金選報酬平衡基金A(累積型-人民幣)Capital Golden Choice Balance CNH A-1.31-0.373.77.4624.2339.2221.297.46 6.571.55  
群益金選報酬平衡基金B(月配型-人民幣)Capital Golden Choice Balance CNH B-1.31-0.373.77.4624.2239.2221.297.46 6.571.55  
群益金選報酬平衡基金A(累積型-新台幣)Capital Golden Choice Balance TWD A-0.064.4311.028.1430.7747.0229.118.14 6.361.87  
中國信託樂齡收益平衡基金-台幣ACTBC Global Silver Age Income TWD A-0.575.8913.256.7330.4437.7636.896.73 8.411.17  
中國信託樂齡收益平衡基金-台幣BCTBC Global Silver Age Income TWD B-0.585.8913.226.6430.3137.6836.836.64 8.411.17  
中國信託樂齡收益平衡基金-美元ACTBC Global Silver Age Income USD A-0.692.627.7511.2227.4934.4523.4811.22 8.60.63  
中國信託樂齡收益平衡基金-美元BCTBC Global Silver Age Income USD B-0.652.627.7511.2927.534.4923.9911.29 8.620.63  
富邦歐亞絲路多重資產型基金-A類型(人民幣)Fubon Euro-Asia Silk Road Mlt-Asst CNH A3.522.6727.7738.7234.2158.5415.4138.72 21.930.76  
富邦歐亞絲路多重資產型基金-A類型(新台幣)Fubon Euro-Asia Silk Road Mlt-Asst TWD A5.169.4440.1139.0840.5460.3918.4939.08 21.840.77  
富邦歐亞絲路多重資產型基金-A類型(美元)Fubon Euro-Asia Silk Road Mlt-Asst USD A5.076.7434.6842.3636.6555.768.1442.36 23.010.54  
富邦歐亞絲路多重資產型基金-B類型(人民幣)Fubon Euro-Asia Silk Road Mlt-Asst CNH B3.522.6727.7738.7234.2258.5415.4238.72 21.930.76  
富邦歐亞絲路多重資產型基金-B類型(美元)Fubon Euro-Asia Silk Road Mlt-Asst USD B5.076.7434.6842.3636.6555.758.1542.36 23.010.54  
富邦歐亞絲路多重資產型基金-B類型(新台幣)Fubon Euro-Asia Silk Road Mlt-Asst TWD B5.169.4440.1139.0840.5460.418.539.08 21.840.77  
野村動態配置多重資產基金-S類型新臺幣計價Nomura Global Multi-Asst Dyn Bal TWDSAcc-0.254.0611.083.9118.5940.3815.273.91 11.350.95  
野村多元收益多重資產基金-S類型新臺幣計價Nomura Multi Income Multi-Asset TWDSAcc-0.812.988.535.3420.1939.2415.925.34 8.561.19  
統一全球動態多重資產基金-累積型(新台幣)UPAMC DynaStrategy Global Mlt-Asst A TWD1.4614.6433.0226.6267.08106.3155.7326.62 15.211.6  
統一全球動態多重資產基金-月配型(新台幣)UPAMC DynaStrategy Global Mlt-Asst B TWD1.4614.6433.0126.6267.08106.3155.6526.62 15.211.6  
統一全球動態多重資產基金-累積型(美元)UPAMC DynaStrategy Global Mlt-Asst A USD1.3611.126.5232.0363.35101.5341.2232.03 16.631.2  
統一全球動態多重資產基金-月配型(美元)UPAMC DynaStrategy Global Mlt-Asst B USD1.3611.126.5132.0363.33101.541.2532.03 16.631.2  
統一全球動態多重資產基金-累積型(人民幣)UPAMC DynaStrategy Global Mlt-Asst A CNH0.078.923.3725.8760.74102.151.5525.87 16.271.47  
統一全球動態多重資產基金-月配型(人民幣)UPAMC DynaStrategy Global Mlt-Asst B CNH0.078.9123.3925.8960.76102.1251.5225.89 16.281.47  
復華奧林匹克全球優勢組合基金-新臺幣BFuh Hwa Olympic II Fund of Funds TWD B0.926.0614.058.7725.5243.1332.358.77 7.621.45  
群益環球金綻雙喜基金NA(累積型-新台幣)Capital Global Abundant Inc FOF NA TWD0.434.9412.626.4722.7933.614.386.47 7.031.24  
群益環球金綻雙喜基金NB(月配型-新台幣)Capital Global Abundant Inc FOF NB TWD0.394.8912.696.5922.9433.8114.476.59 7.011.25  
群益環球金綻雙喜基金NA(累積型-美元)Capital Global Abundant Inc FOF NA USD0.281.657.2110.1620.2833.528.9110.16 8.050.63  
群益環球金綻雙喜基金NB(月配型-美元)Capital Global Abundant Inc FOF NB USD0.281.657.2110.1620.2833.538.9110.16 8.050.63  
群益環球金綻雙喜基金NA(累積型-澳幣)Capital Global Abundant Inc FOF NA AUD-0.241.176.357.817.8428.82 7.8 7.740.2  
群益環球金綻雙喜基金NB(月配型-澳幣)Capital Global Abundant Inc FOF NB AUD-0.241.176.367.8117.8428.83 7.81 7.740.2  
群益環球金綻雙喜基金NA(累積型-南非幣)Capital Global Abundant Inc FOF NA ZAR-0.061.577.459.2922.6542.02 9.29 7.80.67  
群益環球金綻雙喜基金NB(月配型-南非幣)Capital Global Abundant Inc FOF NB ZAR-0.061.577.459.2922.6542.02 9.29 7.80.67  
群益金選報酬平衡基金NA(累積型-新台幣)Capital Golden Choice Balance TWD NA-0.064.4311.028.1430.7847.0329.118.14 6.361.87  
群益金選報酬平衡基金NB(月配型-新台幣)Capital Golden Choice Balance TWD NB-0.064.4311.028.1530.7947.0429.128.15 6.361.87  
群益金選報酬平衡基金NB(月配型-美元)Capital Golden Choice Balance USD NB-0.121.596.2512.5629.0745.6121.6512.56 7.081.12  
群益金選報酬平衡基金NB(月配型-人民幣)Capital Golden Choice Balance CNH NB-1.31-0.373.77.4624.2339.2221.297.46 6.571.55  
聯博收益傘型基金之聯博多元資產收益組合基金-AI類型(新台幣)ABITL Income Umb Mlti-ast Inc FOF AI TWD0.432.928.078.4921.4234.5127.778.49 6.631.34  
聯博收益傘型基金之聯博多元資產收益組合基金-AI類型(美元)ABITL Income Umb Mlti-ast Inc FOF AI USD0.541.966.9513.6623.9139.2527.0613.66 7.830.83  
聯博收益傘型基金之聯博多元資產收益組合基金-AI類型(人民幣)ABITL Income Umb Mlti-ast Inc FOF AI RMB0.341.365.3610.4317.2528.0319.3610.43 7.830.95  
聯博收益傘型基金之聯博多元資產收益組合基金-AI類型(澳幣)ABITL Income Umb Mlti-ast Inc FOF AI AUD0.441.786.4312.1720.8933.3217.9812.17 7.920.27  
安聯收益成長多重資產基金-A類型(累積)-人民幣Allianz Global Investors Inc and Gr ACNY-0.90.613.797.0314.5528.5216.677.03 7.760.98  
安聯收益成長多重資產基金-A類型(累積)-新臺幣Allianz Global Investors Inc and Gr ATWD-0.412.867.35.9613.6525.879.345.96 7.540.89  
安聯收益成長多重資產基金-B類型(月配息)-人民幣Allianz Global Investors Inc and Gr BCNY-0.840.63.827.0814.6228.5916.727.08 7.750.98  
安聯收益成長多重資產基金-B類型(月配息)-新臺幣Allianz Global Investors Inc and Gr BTWD-0.422.837.215.913.6725.849.365.9 7.520.9  
永豐全球多元入息基金-新臺幣累積類型SinoPac Global Multi Income TWD Acc-0.252.39.097.9220.7330.7212.57.92 6.981.14  
永豐全球多元入息基金-新臺幣月配類型SinoPac Global Multi Income TWD Dis-0.252.39.097.9220.7330.7212.517.92 6.981.14  
永豐全球多元入息基金-美元累積類型SinoPac Global Multi Income USD Acc-0.141.377.6611.2922.5534.0411.4111.29 8.30.63  
永豐全球多元入息基金-美元月配類型SinoPac Global Multi Income USD Dis-0.141.377.6711.3222.5634.0111.311.32 8.290.63  
摩根多元入息成長基金-累積型(美元)JPMorgan (Taiwan) Multi Inc FOF USD Acc0.582.055.7411.120.2330.7526.6511.1 6.250.68  
野村鑫平衡組合基金-S類型Nomura Global Balanced Portfolio S1.467.0516.3210.3228.344.9442.7910.32 8.381.38  
富達全球多重資產收益組合基金A股累積型新臺幣計價級別Fidelity (TW) Mlt Asst Inc FoFs A AccTWD1.394.258.8111.7716.9721.5510.5911.77 5.960.92  
富達全球多重資產收益組合基金A股月配息型新臺幣計價級別Fidelity (TW) Mlt Asst Inc FoFs AMDisTWD1.394.278.8711.9415.5918.314.0211.94 6.570.7  
富達全球多重資產收益組合基金A股累積型美元計價級別Fidelity (TW) Mlt Asst Inc FoFs A AccUSD1.442.947.0315.9519.8527.288.7515.95 6.880.5  
富達全球多重資產收益組合基金A股月配息型美元計價級別Fidelity (TW) Mlt Asst Inc FoFs AMDisUSD1.452.947.0315.9519.8527.2812.5115.95 6.880.5  
瀚亞多重收益優化組合基金A類型-新臺幣Eastspring Investments Optm Inc FoFsATWD0.693.849.435.8720.9334.8732.675.87 6.071.48  
瀚亞多重收益優化組合基金A類型-美元Eastspring Investments Optm Inc FoFsAUSD0.631.425.711.3920.134.4621.8411.39 7.390.72  
瀚亞多重收益優化組合基金A類型-澳幣Eastspring Investments Optm Inc FoFsAAUD01.094.918.3120.5434.0523.868.31 5.480.36  
瀚亞多重收益優化組合基金A類型-南非幣Eastspring Investments Optm Inc FoFsAZAR0.311.325.769.5521.441.3536.699.55 6.860.73  
瀚亞多重收益優化組合基金A類型-人民幣Eastspring Investments Optm Inc FoFsACNY-0.3-0.153.527.0316.3331.3221.237.03 6.141.34  
瀚亞多重收益優化組合基金B類型-新臺幣Eastspring Investments Optm Inc FoFsBTWD0.73.89.465.9320.9534.832.535.93 6.081.47  
瀚亞多重收益優化組合基金B類型-美元Eastspring Investments Optm Inc FoFsBUSD0.611.465.7611.3120.0634.4721.8711.31 7.440.71  
瀚亞多重收益優化組合基金B類型-澳幣Eastspring Investments Optm Inc FoFsBAUD-0.111.024.818.1420.7734.2123.488.14 5.450.36  
瀚亞多重收益優化組合基金B類型-紐幣Eastspring Investments Optm Inc FoFsBNZD0.31.16.738.7923.9838.6330.138.79 5.640.22  
瀚亞多重收益優化組合基金B類型-南非幣Eastspring Investments Optm Inc FoFsBZAR0.281.395.749.5621.1540.9435.399.56 6.820.72  
瀚亞多重收益優化組合基金B類型-人民幣Eastspring Investments Optm Inc FoFsBCNY-0.3-0.073.557.1116.3431.421.47.11 6.141.34  
瀚亞多重收益優化組合基金S類型-新臺幣Eastspring Investments Optm Inc FoFsSTWD0.683.759.495.8420.7934.7732.515.84 6.11.46  
瀚亞多重收益優化組合基金S類型-美元Eastspring Investments Optm Inc FoFsSUSD0.611.335.7611.320.0534.4621.8611.3 7.360.72  
瀚亞多重收益優化組合基金S類型-澳幣Eastspring Investments Optm Inc FoFsSAUD-0.071.054.98.1620.4434.0323.118.16 5.530.36  
瀚亞多重收益優化組合基金S類型-南非幣Eastspring Investments Optm Inc FoFsSZAR0.331.375.719.5521.4741.36 9.55 6.850.73  
瀚亞多重收益優化組合基金S類型-人民幣Eastspring Investments Optm Inc FoFsSCNY-0.3-0.193.55716.2331.2921.267 6.131.34  
聯博多重資產傘型基金之聯博歐洲多重資產基金-A2類型(歐元)ABITL European Multi-Asset A2 EUR2.263.526.7418.4722.8634.8429.6518.47 8.460.87  
聯博多重資產傘型基金之聯博歐洲多重資產基金-AI類型(新台幣)ABITL European Multi-Asset AI TWD3.265.4910.0123.1426.740.8431.8623.14 8.891.19  
聯博多重資產傘型基金之聯博歐洲多重資產基金-AI類型(美元)ABITL European Multi-Asset AI USD2.524.148.0820.8427.3543.143.1420.84 8.640.86  
安聯收益成長多重資產基金- N類型(月配息)-新臺幣Allianz Global Investors Inc and Gr NTWD-0.442.827.25.8513.5425.799.285.85 7.570.89  
安聯收益成長多重資產基金- N類型(月配息)-人民幣Allianz Global Investors Inc and Gr NCNY-0.940.583.767.0414.4628.5416.717.04 7.790.98  
富邦AI智能新趨勢多重資產型基金-A類型(新台幣)Fubon AI New Trends Multi-Asset TWD A0.9716.2640.5134.1597.47187.37135.3234.15 21.971.67  
富邦AI智能新趨勢多重資產型基金-A類型(人民幣)Fubon AI New Trends Multi-Asset CNY A-0.4810.2730.2532.9888.98182.88128.9132.98 23.521.56  
富邦AI智能新趨勢多重資產型基金-A類型(美元)Fubon AI New Trends Multi-Asset USD A0.8712.6833.6439.8893.05180.69113.3839.88 23.651.38  
富邦AI智能新趨勢多重資產型基金-N類型(新台幣)Fubon AI New Trends Multi-Asset TWD N0.9716.2640.5134.1597.47187.37135.3234.15 21.971.67  
富邦AI智能新趨勢多重資產型基金-N類型(人民幣)Fubon AI New Trends Multi-Asset CNY N-0.4810.2730.2532.9888.98182.87128.9132.98 23.521.56  
富邦AI智能新趨勢多重資產型基金-N類型(美元)Fubon AI New Trends Multi-Asset USD N0.8712.6833.6439.8893.05180.7113.3939.88 23.651.38  
聯博收益傘型基金之聯博多元資產收益組合基金-AI類型(南非幣)ABITL Income Umb Mlti-ast Inc FOF AI ZAR0.712.518.0515.629.5548.8645.9415.6 7.830.87  
群益全民優質樂退組合A基金(累積型-新台幣)Capital Moderate Allocation FOF A TWD1.235.7713.466.7725.6643.1430.826.77 7.571.46  
群益全民優質樂退組合P基金(累積型-新台幣)Capital Moderate Allocation FOF P TWD1.35.9813.917.6227.6846.5936.097.62 7.571.57  
群益全民優質樂退組合B基金(月配型-新台幣)Capital Moderate Allocation FOF B TWD1.225.7613.466.7725.6543.1430.816.77 7.571.46  
群益全民優質樂退組合NB基金(月配型-新台幣)Capital Moderate Allocation FOF NB TWD1.225.7613.466.7625.6643.1430.826.76 7.571.46  
群益全民優質樂退組合A基金(累積型-美元)Capital Moderate Allocation FOF A USD1.132.517.9211.3322.8639.8618.6711.33 8.570.78  
群益全民優質樂退組合B基金(月配型-美元)Capital Moderate Allocation FOF B USD1.132.517.9211.3322.8539.8218.6311.33 8.560.78  
群益全民優質樂退組合NB基金(月配型-美元)Capital Moderate Allocation FOF NB USD1.132.57.9111.3322.8439.8118.6211.33 8.560.78  
凱基臺灣多元收益多重資產基金-新臺幣AKGI Taiwan Multi-Asset Income Fund A TWD2.064.29.219.9819.3533.8533.469.98 5.071.71  
安聯四季雙收入息組合基金-P類型(累積)-新臺幣Allianz Glbl Inv All Sns Dou IncFOF TWDP1.166.8216.0710.3730.2750.3248.4410.37 7.351.73  
凱基收益成長多重資產基金-新臺幣A(累積)KGI Global Multi-Asset Income Fund A TWD-0.012.9810.368.8230.0643.7340.988.82 7.241.54  
凱基收益成長多重資產基金-新臺幣B(月配)KGI Global Multi-Asset Income Fund B TWD-0.012.9910.368.8430.0743.7541.018.84 7.231.55  
凱基收益成長多重資產基金-美元A(累積)KGI Global Multi-Asset Income Fund A USD0.061.568.0913.4234.0451.9348.7913.42 8.481.12  
凱基收益成長多重資產基金-美元B(月配)KGI Global Multi-Asset Income Fund B USD0.041.568.1113.4734.1252.0249.3813.47 8.461.12  
凱基收益成長多重資產基金-人民幣A(累積)KGI Global Multi-Asset Income Fund A CNY-0.85-0.065.748.9229.446.2649.878.92 7.81.53  
凱基收益成長多重資產基金-人民幣B(月配)KGI Global Multi-Asset Income Fund B CNY-0.84-0.045.778.9529.4346.2950.078.95 7.791.53  
凱基收益成長多重資產基金-南非幣B(月配)KGI Global Multi-Asset Income Fund B ZAR-1.130.135.78.932.1757.3275.148.9 8.221.07  
凱基收益成長多重資產基金-新臺幣NA(累積)KGI Global Multi-Asset Income Fund NATWD-0.012.9810.368.8230.0543.7240.848.82 7.241.54  
凱基收益成長多重資產基金-新臺幣NB(月配)KGI Global Multi-Asset Income Fund NBTWD-0.012.9910.368.8430.0743.740.998.84 7.231.55  
凱基收益成長多重資產基金-美元NA(累積)KGI Global Multi-Asset Income Fund NAUSD0.061.568.0813.4234.0451.9348.7913.42 8.481.12  
凱基收益成長多重資產基金-美元NB(月配)KGI Global Multi-Asset Income Fund NBUSD0.061.598.1313.534.252.149.3913.5 8.471.13  
凱基收益成長多重資產基金-人民幣NA(累積)KGI Global Multi-Asset Income Fund NACNY-0.85-0.065.748.9229.446.3149.548.92 7.811.53  
凱基收益成長多重資產基金-人民幣NB(月配)KGI Global Multi-Asset Income Fund NBCNY-0.84-0.045.778.9529.4446.2949.838.95 7.791.53  
凱基收益成長多重資產基金-南非幣NB(月配)KGI Global Multi-Asset Income Fund NBZAR-1.130.135.78.8932.1557.3171.148.89 8.221.07  
國泰美國多重收益平衡基金-新台幣B(配息)Cathay US Multi-Income Balanced B TWD-0.323.269.156.5421.1836.5329.46.54 6.641.42  
國泰美國多重收益平衡基金-新台幣NB(配息)Cathay US Multi-Income Balanced NB TWD-0.323.269.156.5421.1836.5229.296.54 6.641.42  
國泰美國多重收益平衡基金-美元A(不配息)Cathay US Multi-Income Balanced A USD-0.211.866.8710.9323.140.7630.5210.93 7.810.88  
國泰美國多重收益平衡基金-美元B(配息)Cathay US Multi-Income Balanced B USD-0.231.886.8510.8923.0840.7530.4610.89 7.80.88  
國泰美國多重收益平衡基金-美元NB(配息)Cathay US Multi-Income Balanced NB USD-0.231.886.8610.8923.0640.7330.4610.89 7.80.88  
國泰美國多重收益平衡基金-人民幣B(配息)Cathay US Multi-Income Balanced B CNY-1.10.334.66.7117.7539.0936.246.71 7.111.43  
國泰美國多重收益平衡基金-南非幣B(配息)Cathay US Multi-Income Balanced B ZAR-1.160.844.575.2519.0648465.25 10.130.67  
國泰美國多重收益平衡基金-新台幣A(不配息)Cathay US Multi-Income Balanced A TWD-0.313.269.166.5421.1836.5229.416.54 6.641.42  
聯邦環太平洋平衡基金-A類型(美元)Union APEC Balanced Fund USD A0.948.8323.3529.9641.0765.2349.9629.96 12.011.05  
聯邦環太平洋平衡基金-B類型(美元)Union APEC Balanced Fund USD B0.948.8323.3729.9941.1865.4250.0429.99 12.011.05  
新光美國豐收平衡基金(A類型)人民幣Shin Kong US Harvest Balanced CNY A-1.91-2.25-1.91-21.7111.343.77-2 5.450.48  
華南永昌低波動多重資產基金Hua Nan Low Vol Multi-Asset Fund-0.75-0.455.6110.6623.0634.929.8510.66 8.380.65  
凱基臺灣多元收益多重資產基金-新臺幣NKGI Taiwan Multi-Asset Income Fund N TWD2.094.199.189.9719.3733.8633.469.97 5.041.72  
安聯收益成長多重資產基金-N類型(月配息)-美元Allianz Global Investors Inc and Gr NUSD-0.311.715.6610.1720.7638.922.8610.17 7.610.84  
安聯收益成長多重資產基金-A類型(累積)-美元Allianz Global Investors Inc and Gr AUSD-0.341.715.6110.1620.7138.7522.8110.16 7.650.83  
安聯收益成長多重資產基金-B類型(月配息)-美元Allianz Global Investors Inc and Gr BUSD-0.321.85.6510.1820.8238.8822.9110.18 7.630.84  
野村多元收益多重資產基金-累積N類型新臺幣計價Nomura Multi Income Multi-Asset NTWD Acc-0.882.778.114.6318.5136.4223.784.63 8.551.11  
野村多元收益多重資產基金-月配N類型新臺幣計價Nomura Multi Income Multi-Asset NTWD Inc-0.882.758.084.6518.5736.4623.824.65 8.541.12  
野村多元收益多重資產基金-月配N類型美元計價Nomura Multi Income Multi-Asset NUSD Inc-0.880.464.48.8419.4639.4419.188.84 9.470.71  
野村多元收益多重資產基金-月配N類型人民幣計價Nomura Multi Income Multi-Asset NCNY Inc-1.43-0.592.585.3413.829.8615.255.34 9.170.88  
聯博收益傘型基金之聯博多元資產收益組合基金-N類型(新台幣)ABITL Income Umb Mlti-ast Inc FOF N TWD0.482.928.168.621.4534.4827.758.6 6.711.33  
聯博收益傘型基金之聯博多元資產收益組合基金-N類型(美元)ABITL Income Umb Mlti-ast Inc FOF N USD0.531.986.9213.6623.9539.2327.0813.66 7.90.82  
聯邦高息策略多重資產基金-A累積型(新臺幣)Union Multi-Asset High Income A TWD-0.22.569.17-1.1928.5348.374.06-1.19 8.811.4  
聯邦高息策略多重資產基金-B配息型(新臺幣)Union Multi-Asset High Income B TWD-0.132.559.27-1.0828.6448.344.05-1.08 8.821.4  
聯邦高息策略多重資產基金-ND配息型(新臺幣)Union Multi-Asset High Income ND TWD-0.132.79.27-1.0828.6448.344.05-1.08 8.831.4  
聯邦高息策略多重資產基金-A累積型(美元)Union Multi-Asset High Income A USD-0.32-0.643.763.0825.7444.98-5.733.08 9.750.83  
聯邦高息策略多重資產基金-B配息型(美元)Union Multi-Asset High Income B USD-0.17-0.463.883.1125.7645.15-5.313.11 9.790.83  
聯邦高息策略多重資產基金-ND配息型(美元)Union Multi-Asset High Income ND USD-0.31-0.613.892.9525.6344.81-5.72.95 9.780.82  
聯邦高息策略多重資產基金-A累積型(南非幣)Union Multi-Asset High Income A ZAR-3.28-4.45-2.98-9.1313.5841.046.66-9.13 13.680.41  
聯邦高息策略多重資產基金-B配息型(南非幣)Union Multi-Asset High Income B ZAR-3.37-4.53-2.94-9.0613.6141.046.83-9.06 13.570.41  
聯邦高息策略多重資產基金-ND配息型(南非幣)Union Multi-Asset High Income ND ZAR-3.23-4.4-2.81-9.0613.7741.286.84-9.06 13.640.42  
中國信託樂齡收益平衡基金-台幣NBCTBC Global Silver Age Income TWD NB-0.575.9213.246.4130.0336.4625.656.41 8.411.13  
柏瑞ESG量化多重資產基金-A類型PineBridge ESG Quant Income&Growth A0.83.499.917.9521.2732.1223.587.95 5.671.45  
柏瑞ESG量化多重資產基金-B類型PineBridge ESG Quant Income&Growth B0.813.499.937.9821.2832.1123.557.98 5.661.46  
柏瑞ESG量化多重資產基金-I類型PineBridge ESG Quant Income&Growth I0.863.6410.258.622.7334.52 8.6 5.671.56  
柏瑞ESG量化多重資產基金-N類型PineBridge ESG Quant Income&Growth N0.813.499.937.9821.2832.1123.557.98 5.661.46  
柏瑞ESG量化多重資產基金-N9類型PineBridge ESG Quant Income&Growth N90.83.499.917.9521.2632.1123.587.95 5.671.45  
中國信託樂齡收益平衡基金-美元NBCTBC Global Silver Age Income USD NB-0.622.637.7111.2537.444.7532.2211.25 10.510.77  
聯博收益傘型基金之聯博多元資產收益組合基金-N類型(人民幣)ABITL Income Umb Mlti-ast Inc FoF N CNY0.391.345.3910.4517.3528.0319.3510.45 7.780.96  
聯博收益傘型基金之聯博多元資產收益組合基金-N類型(澳幣)ABITL Income Umb Mlti-ast Inc FoF N AUD0.481.816.4312.1620.9833.2116.8412.16 7.790.27  
聯博收益傘型基金之聯博多元資產收益組合基金-N類型(南非幣)ABITL Income Umb Mlti-ast Inc FoF N ZAR0.712.528.0816.0529.9549.77 16.05 7.920.89  
聯博美國傘型基金之聯博美國多重資產收益基金-A2類型(新台幣)ABITL US Multi-Asset Income Fund-A2 TWD-0.641.386.26.221.4839.04 6.2 7.361.37  
聯博美國傘型基金之聯博美國多重資產收益基金-AD類型(新台幣)ABITL US Multi-Asset Income Fund-AD TWD-0.621.366.226.1121.5439.09 6.11 7.351.37  
聯博美國傘型基金之聯博美國多重資產收益基金-AI類型(新台幣)ABITL US Multi-Asset Income Fund-AI TWD-0.731.36.16.0921.4938.96 6.09 7.371.36  
聯博美國傘型基金之聯博美國多重資產收益基金-N類型(新台幣)ABITL US Multi-Asset Income Fund-N TWD-0.731.36.16.0921.4938.96 6.09 7.341.37  
聯博美國傘型基金之聯博美國多重資產收益基金-A2類型(美元)ABITL US Multi-Asset Income Fund-A2 USD-0.560.364.910.6124.7646.4 10.61 8.540.97  
聯博美國傘型基金之聯博美國多重資產收益基金-AD類型(美元)ABITL US Multi-Asset Income Fund-AD USD-0.570.424.9210.6824.8246.47 10.68 8.570.97  
聯博美國傘型基金之聯博美國多重資產收益基金-AI類型(美元)ABITL US Multi-Asset Income Fund-AI USD-0.620.384.8510.5924.7546.33 10.59 8.510.97  
聯博美國傘型基金之聯博美國多重資產收益基金-N類型(美元)ABITL US Multi-Asset Income Fund-N USD-0.620.34.8510.5924.7546.33 10.59 8.510.97  
聯博美國傘型基金之聯博美國多重資產收益基金-AI類型(人民幣)ABITL US Multi-Asset Income Fund-AI CNH-0.86-0.333.387.4518.0134.61 7.45 8.491.08  
安聯收益成長多重資產基金- C類型(累積)-新臺幣Allianz Global Investors Inc and Gr CTWD-0.472.797.235.8513.6225.8 5.85 7.580.89  
安聯收益成長多重資產基金- C類型(累積)-美元Allianz Global Investors Inc and Gr CUSD-0.331.755.6310.2220.6938.84 10.22 7.720.83  
宏利實質多重資產基金A類型(新臺幣)Manulife Real Ast Inc Mult Ast A(TWD)-0.630.593.182.416.7811.67 2.41 6.350.42  
宏利實質多重資產基金B類型(新臺幣)Manulife Real Ast Inc Mult Ast B(TWD)-0.611.365.211.516.8611.67 1.51 6.970.39  
宏利實質多重資產基金A類型(美元)Manulife Real Ast Inc Mult Ast A(USD)-0.56-0.362.435.488.315.42 5.48 7.570.02  
宏利實質多重資產基金B類型(美元)Manulife Real Ast Inc Mult Ast B(USD)-0.56-0.362.435.498.3115.42 5.49 7.570.02  
宏利實質多重資產基金NA類型(新臺幣)Manulife Real Ast Inc Mult Ast NA(TWD)-0.630.23.451.235.8110.59 1.23 6.570.36  
宏利實質多重資產基金NB類型(新臺幣)Manulife Real Ast Inc Mult Ast NB(TWD)-0.641.054.381.926.3711.34 1.92 6.590.39  
宏利實質多重資產基金NA類型(美元)Manulife Real Ast Inc Mult Ast NA(USD)-0.56-0.362.435.488.315.41 5.48 7.580.02  
宏利實質多重資產基金NB類型(美元)Manulife Real Ast Inc Mult Ast NB(USD)-0.56-0.362.435.498.3115.42 5.49 7.570.02  
台新高股息平衡基金(月配息型)Taishin Hi Div Yield Balanced B-1.22-4.353.63-3.8624.1883.26 -3.86 15.51.31  
台新高股息平衡基金(後收月配息型)Taishin Hi Div Yield Balanced NB-1.22-4.353.63-3.8624.1883.25 -3.86 15.51.31  
台新高股息平衡基金(後收累積型)Taishin Hi Div Yield Balanced NA-1.22-4.353.63-3.8624.1883.25 -3.86 15.51.31  
安聯四季雙收入息組合基金-R類型(累積)-新臺幣Allianz Glbl Inv All Sns Db IncFOF-R-TWD1.16.7715.779.8429.0448.27 9.84 7.381.66  
元大全球ETF穩健組合基金-新台幣R類型Yuanta Global ETFs Stable FOF R0.635.6813.027.9423.8636.19 7.94 7.631.23  
PGIM保德信金平衡基金-R級別PGIM Balanced R3.110.5524.1822.4345.2180.05 22.43 11.341.69  
群益環球金綻雙喜基金A(累積型-人民幣)Capital Global Abundant Inc FOF A CNH-0.090.835.536.7914.7624.31 6.79 7.710.84  
群益環球金綻雙喜基金NA(累積型-人民幣)Capital Global Abundant Inc FOF NA CNH-0.090.835.536.7914.7624.31 6.79 7.70.84  
合庫樂活安養ESG穩健成長組合基金B類型(新台幣)TCB ESG Retirement Growth FOF B TWD0.363.899.8210.0120.3929.22 10.01 7.081.07  
合庫樂活安養ESG穩健成長組合基金A類型(新台幣)TCB ESG Retirement Growth FOF A TWD0.363.899.821020.3929.22 10 7.081.07  
合庫樂活安養ESG穩健成長組合基金B類型(美元)TCB ESG Retirement Growth FOF B USD0.381.856.514.1222.7233.02 14.12 7.840.63  
合庫樂活安養ESG穩健成長組合基金A類型(美元)TCB ESG Retirement Growth FOF A USD0.381.856.5114.1522.7633.06 14.15 7.840.63  
野村多元收益多重資產基金-累積N類型美元計價Nomura Multi Income Multi-Asset NUSD Acc-0.880.454.48.8519.4739.46 8.85 9.470.71  
聯邦低碳目標多重資產基金-NA累積型(新臺幣)Union Low Carbon Target Mult Ast NA TWD-0.377.4417.0414.8435.550.6 14.84 7.121.79  
聯邦低碳目標多重資產基金-A累積型(新臺幣)Union Low Carbon Target Mult Ast A TWD-0.377.4417.0414.8435.550.6 14.84 7.121.79  
聯邦低碳目標多重資產基金-A累積型(美元)Union Low Carbon Target Mult Ast A USD-0.474.1211.3219.7532.4747.1 19.75 7.541.1  
聯邦低碳目標多重資產基金-NA累積型(美元)Union Low Carbon Target Mult Ast NA USD-0.474.1211.3219.7532.4747.1 19.75 7.541.1  
合庫環境及社會責任多重資產基金B類型(新台幣)TCB Envrntl & Scly Rspnbl Mlt-Ast B TWD-0.622.098.598.034.314.74 8.03 10.010.38  
合庫環境及社會責任多重資產基金A類型(新台幣)TCB Envrntl & Scly Rspnbl Mlt-Ast A TWD-0.62.078.588.114.3314.77 8.11 10.020.38  
合庫環境及社會責任多重資產基金A類型(人民幣)TCB Envrntl & Scly Rspnbl Mlt-Ast A CNY-1.78-1.043.978.3911.530.55 8.39 8.90.92  
合庫環境及社會責任多重資產基金NB類型(新台幣)TCB Envrntl & Scly Rspnbl Mlt-Ast NB TWD-0.622.098.598.034.314.74 8.03 100.38  
合庫環境及社會責任多重資產基金A類型(美元)TCB Envrntl & Scly Rspnbl Mlt-Ast A USD-0.560.956.6213.8113.6929.32 13.81 10.220.41  
合庫環境及社會責任多重資產基金B類型(人民幣)TCB Envrntl & Scly Rspnbl Mlt-Ast B CNY-1.84-1.064.038.5211.5430.67 8.52 8.890.93  
合庫環境及社會責任多重資產基金B類型(美元)TCB Envrntl & Scly Rspnbl Mlt-Ast B USD-0.50.946.6513.9413.829.45 13.94 10.220.42  
合庫環境及社會責任多重資產基金NB類型(美元)TCB Envrntl & Scly Rspnbl Mlt-Ast NB USD-0.51.056.8714.1813.929.55 14.18 10.270.42  
合庫環境及社會責任多重資產基金A類型(南非幣)TCB Envrntl & Scly Rspnbl Mlt-Ast A ZAR0.322.59.5821.0725.8750.65 21.07 10.750.7  
合庫環境及社會責任多重資產基金B類型(南非幣)TCB Envrntl & Scly Rspnbl Mlt-Ast B ZAR-0.331.467.9519.7625.2250.01 19.76 10.790.68  
瀚亞多重收益優化組合基金SA類型-新臺幣Eastspring Invstmts Optm Inc FoFs SA TWD0.653.769.455.87.77.7 5.8 4.270.31  
中國信託科技趨勢多重資產基金-臺幣ACTBC Global Tech Trends Mlt-Asset-TWD A-0.244.2213.069.0731.1159.46 9.07 8.531.73  
中國信託科技趨勢多重資產基金-臺幣BCTBC Global Tech Trends Mlt-Asset-TWD B-0.244.2213.068.9931.0259.34 8.99 8.541.73  
中國信託科技趨勢多重資產基金-美元ACTBC Global Tech Trends Mlt-Asset-USD A-0.3317.5313.5928.0355.57 13.59 10.21.02  
中國信託科技趨勢多重資產基金-臺幣NBCTBC Global Tech Trends Mlt-Asset-TWD NB-0.244.2213.058.9931.0259.35 8.99 8.541.73  
中國信託科技趨勢多重資產基金-美元BCTBC Global Tech Trends Mlt-Asset-USD B-0.3317.5313.6428.1855.75 13.64 10.191.03  
中國信託科技趨勢多重資產基金-美元NBCTBC Global Tech Trends Mlt-Asset-USD NB-0.331.017.5313.6228.1355.69 13.62 10.191.03  
柏瑞趨勢動態多重資產基金-A類型PineBridge Thematc Dynmc Mlt-Ast A0.964.1610.527.5523.8738.09 7.55 7.231.36  
柏瑞趨勢動態多重資產基金-B類型PineBridge Thematc Dynmc Mlt-Ast B0.964.1610.557.5723.938.1 7.57 7.231.36  
柏瑞趨勢動態多重資產基金-N類型PineBridge Thematc Dynmc Mlt-Ast N0.964.1610.557.5723.938.11 7.57 7.231.36  
柏瑞趨勢動態多重資產基金-N9類型PineBridge Thematc Dynmc Mlt-Ast N90.964.1610.527.5523.8738.09 7.55 7.231.36  
柏瑞趨勢動態多重資產基金-I類型PineBridge Thematc Dynmc Mlt-Ast I1.014.2910.798.0625.0540.01 8.06 7.231.42  
柏瑞趨勢動態多重資產基金-A類型(澳幣)PineBridge Thematc Dynmc Mlt-Ast A(AUD)0.481.145.3310.7121.4733.53 10.71 7.750.29  
柏瑞趨勢動態多重資產基金-B類型(澳幣)PineBridge Thematc Dynmc Mlt-Ast B(AUD)0.481.135.3510.7521.5233.57 10.75 7.750.29  
柏瑞趨勢動態多重資產基金-N類型(澳幣)PineBridge Thematc Dynmc Mlt-Ast N(AUD)0.481.135.3610.7521.5233.57 10.75 7.750.29  
柏瑞趨勢動態多重資產基金-N9類型(澳幣)PineBridge Thematc Dynmc Mlt-Ast N9(AUD)0.491.145.3410.7121.4833.54 10.71 7.750.29  
柏瑞趨勢動態多重資產基金-A類型(人民幣)PineBridge Thematc Dynmc Mlt-Ast A(CNY)0.460.454.228.8716.8228.32 8.87 8.10.93  
柏瑞趨勢動態多重資產基金-B類型(人民幣)PineBridge Thematc Dynmc Mlt-Ast B(CNY)0.460.454.248.9116.8728.34 8.91 8.090.93  
柏瑞趨勢動態多重資產基金-N類型(人民幣)PineBridge Thematc Dynmc Mlt-Ast N(CNY)0.460.454.248.9116.8728.34 8.91 8.090.94  
柏瑞趨勢動態多重資產基金-N9類型(人民幣)PineBridge Thematc Dynmc Mlt-Ast N9(CNY)0.460.454.228.8716.8228.32 8.87 8.10.93  
柏瑞趨勢動態多重資產基金-A類型(美元)PineBridge Thematc Dynmc Mlt-Ast A(USD)0.91.355.8912.3522.4537.05 12.35 8.640.7  
柏瑞趨勢動態多重資產基金-B類型(美元)PineBridge Thematc Dynmc Mlt-Ast B(USD)0.91.355.9212.3722.4737.06 12.37 8.630.7  
柏瑞趨勢動態多重資產基金-N類型(美元)PineBridge Thematc Dynmc Mlt-Ast N(USD)0.91.345.9212.3822.4837.07 12.38 8.630.7  
柏瑞趨勢動態多重資產基金-N9類型(美元)PineBridge Thematc Dynmc Mlt-Ast N9(USD)0.891.355.912.3522.4537.05 12.35 8.640.7  
柏瑞趨勢動態多重資產基金-I類型(美元)PineBridge Thematc Dynmc Mlt-Ast I(USD)0.941.476.1512.8823.6239 12.88 8.640.75  
聯邦環太平洋平衡基金-NA類型(新臺幣)Union APEC Balanced TWD NA1.0412.2829.6924.6544.3569.22 24.65 10.921.56  
聯邦環太平洋平衡基金-ND類型(新臺幣)Union APEC Balanced TWD ND1.0488.95118.26109.84143.07184.97 109.84 51.650.83  
聯邦環太平洋平衡基金-NA類型(美元)Union APEC Balanced USD NA0.948.8323.3729.9841.0865.23 29.98 12.011.05  
聯邦環太平洋平衡基金-ND類型(美元)Union APEC Balanced USD ND0.938.8123.3229.9241.0665.22 29.92 12.011.05  
台中銀GAMMA量化多重資產基金B(配息型-新台幣)TCB GAMMA Quantitative Mlt-Ast B (TWD)0.074.6515.736.0822.0641.68 6.08 8.271.3  
台中銀GAMMA量化多重資產基金A(累積型-新台幣)TCB GAMMA Quantitative Mlt-Ast A (TWD)0.074.6515.726.0722.0441.65 6.07 8.281.3  
台中銀GAMMA量化多重資產基金C(累積後收型-新台幣)TCB GAMMA Quantitative Mlt-Ast C (TWD)0.064.6415.76.0522.0241.62 6.05 8.271.3  
台中銀GAMMA量化多重資產基金N(配息後收型-新台幣)TCB GAMMA Quantitative Mlt-Ast N (TWD)0.074.6515.726.0822.0441.65 6.08 8.271.3  
台中銀GAMMA量化多重資產基金A(累積型-美元)TCB GAMMA Quantitative Mlt-Ast A (USD)-0.041.537.7310.6519.2238.51 10.65 7.930.8  
台中銀GAMMA量化多重資產基金B(配息型-美元)TCB GAMMA Quantitative Mlt-Ast B (USD)-0.041.547.7310.6419.2238.51 10.64 7.930.8  
台中銀GAMMA量化多重資產基金N(配息後收型-美元)TCB GAMMA Quantitative Mlt-Ast N (USD)-0.041.547.7310.6419.2338.52 10.64 7.930.8  
台中銀GAMMA量化多重資產基金C(累積後收型-美元)TCB GAMMA Quantitative Mlt-Ast C (USD)-0.041.537.7210.6319.238.49 10.63 7.930.8  
台中銀GAMMA量化多重資產基金A(累積型-人民幣)TCB GAMMA Quantitative Mlt-Ast A (CNY)-1.28-0.345.085.9217.3640.3 5.92 7.41.42  
台中銀GAMMA量化多重資產基金B(配息型-人民幣)TCB GAMMA Quantitative Mlt-Ast B (CNY)-1.28-2.77-2.77-2.778.429.59 -2.77 6.681.17  
台中銀GAMMA量化多重資產基金C(累積後收型-人民幣)TCB GAMMA Quantitative Mlt-Ast C (CNY)-1.28-0.345.085.9217.3540.29 5.92 7.41.42  
台中銀GAMMA量化多重資產基金N(配息後收型-人民幣)TCB GAMMA Quantitative Mlt-Ast N (CNY)-1.28-0.345.075.9117.3540.29 5.91 7.41.42  
中國信託 ESG 碳商機多重資產基金-臺幣BCTBC ESG Carbon Transtion Mlt-Ast-TWD B-0.593.1311.37729.7141.68 7 7.391.45  
中國信託 ESG 碳商機多重資產基金-臺幣ACTBC ESG Carbon Transtion Mlt-Ast-TWD A-0.523.2111.467.0529.7541.72 7.05 7.391.45  
中國信託 ESG 碳商機多重資產基金-臺幣NBCTBC ESG Carbon Transtion Mlt-Ast-TWD NB-0.593.1311.37729.7141.69 7 7.41.45  
中國信託 ESG 碳商機多重資產基金-美元ACTBC ESG Carbon Transtion Mlt-Ast-USD A-0.6306.0211.6126.938.39 11.61 9.30.69  
中國信託 ESG 碳商機多重資產基金-美元NBCTBC ESG Carbon Transtion Mlt-Ast-USD NB-0.73-0.045.9411.5826.8638.26 11.58 9.30.69  
中國信託 ESG 碳商機多重資產基金-美元BCTBC ESG Carbon Transtion Mlt-Ast-USD B-0.64-0.046.0411.6926.8538.39 11.69 9.250.69  
貝萊德環球動態趨勢多元資產組合基金-A月配類型(新臺幣)BlackRock Gbl Dyn Trd MA FOF (A TWD Dis)1.416.9314.9512.2333.2153.39 12.23 7.71.74  
貝萊德環球動態趨勢多元資產組合基金-A累積類型(新臺幣)BlackRock Gbl Dyn Trd MA FOF A TWD1.476.9414.9112.2333.2253.43 12.23 7.731.73  
貝萊德環球動態趨勢多元資產組合基金-A累積類型(美元 )BlackRock Gbl Dyn Trd MA FOF (A USD Acc)1.353.669.251730.2149.85 17 8.841.02  
貝萊德環球動態趨勢多元資產組合基金-N月配類型(新臺幣)BlackRock Gbl Dyn Trd MA FOF (N TWD Dis)1.416.9414.8712.1533.2353.29 12.15 7.691.74  
貝萊德環球動態趨勢多元資產組合基金-N月配類型(美元 )BlackRock Gbl Dyn Trd MA FOF (N USD Dis)1.393.679.3316.9830.3449.84 16.98 8.811.03  
貝萊德環球動態趨勢多元資產組合基金-A月配類型(美元 )BlackRock Gbl Dyn Trd MA FOF (A USD Dis)1.393.679.3316.9830.3449.84 16.98 8.851.02  
貝萊德環球動態趨勢多元資產組合基金-A月配類型(人民幣)BlackRock Gbl Dyn Trd MA FOF (A RMB Dis)0.051.546.4911.3227.7251.06 11.32 7.681.69  
貝萊德環球動態趨勢多元資產組合基金-A累積類型(人民幣)BlackRock Gbl Dyn Trd MA FOF (A RMB Acc)0.061.496.5511.3327.7251.06 11.33 7.711.69  
貝萊德環球動態趨勢多元資產組合基金-N月配類型(人民幣)BlackRock Gbl Dyn Trd MA FOF (N RMB Dis)0.051.546.4911.3227.7251.06 11.32 7.681.69  
PGIM保德信全球生態友善ESG多重資產基金-新臺幣累積型PGIM Global Eco-Frndly ESG M-A Acc TWD0.724.9412.276.8622.6437.21 6.86 8.321.16  
PGIM保德信全球生態友善ESG多重資產基金-新臺幣月配息型PGIM Global Eco-Frndly ESG M-A Inc TWD0.724.9412.286.8822.6637.23 6.88 8.321.17  
PGIM保德信全球生態友善ESG多重資產基金-新臺幣N累積型PGIM Global Eco-Frndly ESG M-A N-Acc TWD0.724.9412.276.8622.6437.21 6.86 8.321.16  
PGIM保德信全球生態友善ESG多重資產基金-新臺幣N月配息型PGIM Global Eco-Frndly ESG M-A N-Inc TWD0.724.9412.286.8822.6637.23 6.88 8.321.17  
PGIM保德信全球生態友善ESG多重資產基金-美元累積型PGIM Global Eco-Frndly ESG M-A Acc USD0.672.297.8411.2121.8237.22 11.21 9.710.64  
PGIM保德信全球生態友善ESG多重資產基金-美元月配息型PGIM Global Eco-Frndly ESG M-A Inc USD0.672.287.8411.2221.8437.24 11.22 9.70.64  
PGIM保德信全球生態友善ESG多重資產基金-美元N累積型PGIM Global Eco-Frndly ESG M-A N-Acc USD0.672.297.8411.2121.8237.22 11.21 9.710.64  
PGIM保德信全球生態友善ESG多重資產基金-人民幣累積型PGIM Global Eco-Frndly ESG M-A Acc CNH-0.590.135.145.818.4934.67 5.8 8.781.05  
PGIM保德信全球生態友善ESG多重資產基金-美元N月配息型PGIM Global Eco-Frndly ESG M-A N-Inc USD0.672.287.8411.2221.8437.24 11.22 9.70.64  
PGIM保德信全球生態友善ESG多重資產基金-人民幣月配息型PGIM Global Eco-Frndly ESG M-A Inc CNH-0.590.135.145.8118.534.68 5.81 8.781.05  
PGIM保德信全球生態友善ESG多重資產基金-南非幣累積型PGIM Global Eco-Frndly ESG M-A Acc ZAR0.32.097.7510.9523.8942.79 10.95 9.30.6  
PGIM保德信全球生態友善ESG多重資產基金-南非幣月配型PGIM Global Eco-Frndly ESG M-A Inc ZAR0.312.097.7610.9723.9342.82 10.97 9.30.6  
合庫環境及社會責任多重資產基金NA類型(美元)TCB Envrntl & Scly Rspnbl Mlt-Ast NA USD00004.5213.2 0 7.77-0.06  
合庫環境及社會責任多重資產基金NA類型(新台幣)TCB Envrntl & Scly Rspnbl Mlt-Ast NA TWD000000 0 0-56.68  
元大全球優質龍頭平衡基金-新台幣A類型不配息Yuanta Global Leaders Balanced-TWD(A)1.278.6422.529.7866.97100.3 29.78 8.192.74  
元大全球優質龍頭平衡基金-新台幣I類型不配息Yuanta Global Leaders Balanced-TWD (I)1.318.7922.8430.4768.65103.33 30.47 8.22.8  
元大全球優質龍頭平衡基金-美元I類型不配息Yuanta Global Leaders Balanced-USD (I)1.25.4516.8636.0564.9497.69 36.05 9.861.87  
元大全球優質龍頭平衡基金-美元A類型不配息Yuanta Global Leaders Balanced-USD(A)1.165.3116.5435.3463.2395.58 35.34 9.851.84  
凱基未來樂活多重資產基金-新臺幣A(累積)KGI LOHAS Multi-Asset Fund -TWD A0.322.1312.1316.2438.2749.07 16.24 8.061.55  
凱基未來樂活多重資產基金-新臺幣B(月配)KGI LOHAS Multi-Asset Fund -TWD B0.322.1312.1416.2538.2849.09 16.25 8.061.55  
凱基未來樂活多重資產基金-新臺幣NA(累積)KGI LOHAS Multi-Asset Fund -TWD NA0.322.1312.1316.2338.2749.07 16.23 8.061.55  
凱基未來樂活多重資產基金-新臺幣NB(月配)KGI LOHAS Multi-Asset Fund -TWD NB0.322.1312.1416.2538.2949.09 16.25 8.061.55  
凱基未來樂活多重資產基金-美元B(月配)KGI LOHAS Multi-Asset Fund -USD B0.461.2810.820.0242.2857.05 20.02 8.891.2  
凱基未來樂活多重資產基金-美元A(累積)KGI LOHAS Multi-Asset Fund -USD A0.441.2610.819.9541.9456.59 19.95 8.911.18  
凱基未來樂活多重資產基金-美元NB(月配)KGI LOHAS Multi-Asset Fund -USD NB0.451.2310.719.8242.0156.75 19.82 8.891.19  
凱基未來樂活多重資產基金-美元NA(累積)KGI LOHAS Multi-Asset Fund -USD NA0.442.466.193.922.935.51 3.9 9.480.6  
凱基未來樂活多重資產基金-人民幣B(月配)KGI LOHAS Multi-Asset Fund -CNY B-0.31-0.118.6115.8337.0351.32 15.83 8.341.57  
凱基未來樂活多重資產基金-人民幣A(累積)KGI LOHAS Multi-Asset Fund -CNY A-0.32-0.128.615.8237.0151.3 15.82 8.341.57  
凱基未來樂活多重資產基金-人民幣NB(月配)KGI LOHAS Multi-Asset Fund -CNY NB-0.31-0.118.6115.8437.0351.31 15.84 8.341.57  
凱基未來樂活多重資產基金-人民幣NA(累積)KGI LOHAS Multi-Asset Fund -CNY NA-1.1-3.72-0.6210.172030.65 10.17 10.220.82  
凱基未來樂活多重資產基金-南非幣B(月配)KGI LOHAS Multi-Asset Fund -ZAR B-0.69-0.018.4715.9944.3764.29 15.99 8.721.17  
凱基未來樂活多重資產基金-南非幣A(累積)KGI LOHAS Multi-Asset Fund -ZAR A-0.71-0.038.4415.9344.2764.2 15.93 8.741.17  
凱基未來樂活多重資產基金-南非幣NB(月配)KGI LOHAS Multi-Asset Fund -ZAR NB-0.7-0.018.4715.9944.3564.27 15.99 8.721.17  
富邦台灣多重資產基金Fubon Taiwan Multi-Asset Fund-0.16-1.132.330.8210.7322.8 0.82 6.010.97  
瑞銀全球永續組合基金(台幣)A類型(累積)UBS (TW) Mlt-Ast Risk Ctrl Stnb (TWD) A0.332.616.284.1912.9923.28 4.19 7.20.84  
瑞銀全球永續組合基金(台幣)B類型(月配息)UBS (TW) Mlt-Ast Risk Ctrl Stnb (TWD) B0.42.556.264.1813.0223.3 4.18 7.210.84  
瑞銀全球永續組合基金(台幣)NB類型(月配息)UBS (TW) Mlt-Ast Risk Ctrl Stnb (TWD) NB0.32.556.264.1812.9123.29 4.18 7.190.84  
瑞銀全球永續組合基金(美元)A類型(累積)UBS (TW) Mlt-Ast Risk Ctrl Stnb (USD) A0.461.7758.2715.0629.86 8.27 8.140.51  
瑞銀全球永續組合基金(美元)B類型(月配息)UBS (TW) Mlt-Ast Risk Ctrl Stnb (USD) B0.451.74.978.2414.9329.9 8.24 8.180.51  
瑞銀全球永續組合基金(美元)NB類型(月配息)UBS (TW) Mlt-Ast Risk Ctrl Stnb (USD) NB0.451.84.978.2515.0529.81 8.25 8.130.51  
瑞銀全球永續組合基金(人民幣)A類型(累積)UBS (TW) Mlt-Ast Risk Ctrl Stnb (RMB) A-0.410.252.784.1811.3922.69 4.18 7.490.8  
瑞銀全球永續組合基金(人民幣)B類型(月配息)UBS (TW) Mlt-Ast Risk Ctrl Stnb (RMB) B-0.450.132.754.1611.3422.75 4.16 7.50.8  
瑞銀全球永續組合基金(人民幣)NB類型(月配息)UBS (TW) Mlt-Ast Risk Ctrl Stnb (RMB) NB-0.360.232.754.1611.3522.76 4.16 7.430.81  
瑞銀全球永續組合基金(南非幣)A類型(累積)UBS (TW) Mlt-Ast Risk Ctrl Stnb (ZAR) A-0.221.133.946.8315.9535.72 6.83 7.80.48  
瑞銀全球永續組合基金(南非幣)B類型(月配息)UBS (TW) Mlt-Ast Risk Ctrl Stnb (ZAR) B-0.211.193.946.8315.9135.96 6.83 7.850.48  
瑞銀全球永續組合基金(南非幣)NB類型(月配息)UBS (TW) Mlt-Ast Risk Ctrl Stnb (ZAR) NB-0.211.13.946.8315.9135.95 6.83 7.860.48  
野村環球時機多重資產基金-累積類型新臺幣計價Nomura Next Generation Multi-Ast A TWD1.016.0111.5510.8220.03  10.82     
野村環球時機多重資產基金-月配類型新臺幣計價Nomura Next Generation Multi-Ast D TWD1.015.9311.4210.9720.1  10.97     
野村環球時機多重資產基金-月配N類型新臺幣計價Nomura Next Generation Multi-Ast ND TWD1.015.9211.410.9620.08  10.96     
野村環球時機多重資產基金-累積N類型新臺幣計價Nomura Next Generation Multi-Ast NA TWD1.015.9411.4310.9420.09  10.94     
野村環球時機多重資產基金-累積類型美元計價Nomura Next Generation Multi-Ast A USD1.023.57.5214.819.73  14.8     
野村環球時機多重資產基金-S類型新臺幣計價Nomura Next Generation Multi-Ast S TWD00000  0     
野村環球時機多重資產基金-月配類型美元計價Nomura Next Generation Multi-Ast D USD1.023.57.5214.819.75  14.8     
野村環球時機多重資產基金-累積N類型美元計價Nomura Next Generation Multi-Ast NA USD1.023.577.6114.8820.15  14.88     
野村環球時機多重資產基金-月配N類型美元計價Nomura Next Generation Multi-Ast ND USD1.023.57.5214.819.72  14.8     
瀚亞理財通基金B類型–新台幣Eastspring Investments Balance B2.085.3415.0112.5529.41  12.55     
安聯四季雙收入息組合基金-B1類型(月配息)-新臺幣Allianz Glbl Inv All Sns DouIncFOFTWD B11.116.6515.699.5728.33  9.57     
安聯四季雙收入息組合基金-B1類型(月配息)-美元Allianz Glbl Inv All Sns DouIncFOFUSD B10.953.38           
施羅德全週期動態多元資產組合基金-A美元Schroder All Cycle Dyn M-A FOF (USD)-Acc0.922.569.4314.6424.93  14.64     
施羅德全週期動態多元資產組合基金-B美元Schroder All Cycle Dyn M-A FOF (USD)-Dis0.892.519.3814.5824.85  14.58     
新光全球多重資產基金-(A累積)新臺幣Shin Kong Global Multi Asset Fund A TWD0.235.9314.869.3921.13  9.39     
新光全球多重資產基金-(B配息)新臺幣Shin Kong Global Multi Asset Fund B TWD0.235.9314.869.3921.13  9.39     
新光全球多重資產基金-(NA累積)新臺幣Shin Kong Global Multi Asset Fund NA TWD0.235.9414.879.3921.13  9.39     
新光全球多重資產基金-(NB配息)新臺幣Shin Kong Global Multi Asset Fund NB TWD0.235.9214.849.3721.12  9.37     
新光全球多重資產基金-(A累積)美元Shin Kong Global Multi Asset Fund A USD0.122.696.8514.1517.46  14.15     
新光全球多重資產基金-(B配息)美元Shin Kong Global Multi Asset Fund B USD0.152.726.8714.1717.86  14.17     
新光全球多重資產基金-(NA累積)美元Shin Kong Global Multi Asset Fund NA USD0.152.726.8814.1517.87  14.15     
新光全球多重資產基金-(NB配息)美元Shin Kong Global Multi Asset Fund NB USD0.142.716.8414.0917.75  14.09     
柏瑞利率對策多重資產基金-B類型PineBridge Rate Response Mlt-Ast-B0.373.838.494.2918.05  4.29     
柏瑞利率對策多重資產基金-A類型PineBridge Rate Response Mlt-Ast-A0.373.838.484.2718.03  4.27     
柏瑞利率對策多重資產基金-N9類型PineBridge Rate Response Mlt-Ast-N90.373.838.484.2718.02  4.27     
柏瑞利率對策多重資產基金-N類型PineBridge Rate Response Mlt-Ast-N0.373.838.494.2918.05  4.29     
柏瑞利率對策多重資產基金-A類型(澳幣)PineBridge Rate Response Mlt-Ast-A(AUD)-0.091.274.77.7816.53  7.78     
柏瑞利率對策多重資產基金-N類型(澳幣)PineBridge Rate Response Mlt-Ast-N(AUD)-0.091.264.717.8116.56  7.81     
柏瑞利率對策多重資產基金-B類型(澳幣)PineBridge Rate Response Mlt-Ast-B(AUD)-0.091.274.717.8116.56  7.81     
柏瑞利率對策多重資產基金-A類型(人民幣)PineBridge Rate Response Mlt-Ast-A(CNY)-0.080.773.515.9512.42  5.95     
柏瑞利率對策多重資產基金-N9類型(澳幣)PineBridge Rate Response Mlt-Ast-N9(AUD)-0.091.274.77.7816.52  7.78     
柏瑞利率對策多重資產基金-N類型(人民幣)PineBridge Rate Response Mlt-Ast-N(CNY)-0.080.773.525.9712.44  5.97     
柏瑞利率對策多重資產基金-B類型(人民幣)PineBridge Rate Response Mlt-Ast-B(CNY)-0.080.773.525.9712.45  5.97     
柏瑞利率對策多重資產基金-A類型(美元)PineBridge Rate Response Mlt-Ast-A(USD)0.351.675.179.2518.05  9.25     
柏瑞利率對策多重資產基金-N9類型(人民幣)PineBridge Rate Response Mlt-Ast-N9(CNY)-0.080.773.515.9512.42  5.95     
柏瑞利率對策多重資產基金-N類型(美元)PineBridge Rate Response Mlt-Ast-N(USD)0.351.675.189.2718.07  9.27     
柏瑞利率對策多重資產基金-B類型(美元)PineBridge Rate Response Mlt-Ast-B(USD)0.351.675.189.2718.07  9.27     
柏瑞利率對策多重資產基金-I類型(美元)PineBridge Rate Response Mlt-Ast-I(USD)0.421.865.5710.0719.84  10.07     
柏瑞利率對策多重資產基金-N9類型(美元)PineBridge Rate Response Mlt-Ast-N9(USD)0.351.675.179.2518.05  9.25     
群益全民優質樂退組合基金R(累積型-新台幣)Capital Moderate Allocation FOF R(TWD)1.275.913.747.3126.94  7.31     
兆豐萬全基金-R類型Mega Balanced Fund R4.2615.3533.8314.1823.06  14.18     
野村策略轉機多重資產基金-月配類型新臺幣計價Nomura Convertible Bd Mlt-Ast D-M NTD-0.093.0713.9812.8919.84  12.89     
野村策略轉機多重資產基金-累積類型新臺幣計價Nomura Convertible Bd Mlt-Ast Acc NTD-0.093.0613.9712.8719.8  12.87     
野村策略轉機多重資產基金-累積N類型新臺幣計價Nomura Convertible Bd Mlt-Ast N Acc NTD-0.12.8813.6912.9719.84  12.97     
野村策略轉機多重資產基金-月配N類型新臺幣計價Nomura Convertible Bd Mlt-Ast N D-M NTD-0.092.9613.813.0119.91  13.01     
野村策略轉機多重資產基金-S類型新臺幣計價Nomura Convertible Bd Mlt-Ast S NTD00000  0     
野村策略轉機多重資產基金-累積類型美元計價Nomura Convertible Bd Mlt-Ast Acc USD-0.041.0510.5116.6818.21  16.68     
野村策略轉機多重資產基金-月配類型美元計價Nomura Convertible Bd Mlt-Ast D-M USD-0.041.0410.5116.6818.2  16.68     
野村策略轉機多重資產基金-累積N類型美元計價Nomura Convertible Bd Mlt-Ast N Acc USD-0.041.0410.516.6718.19  16.67     
野村策略轉機多重資產基金-月配N類型美元計價Nomura Convertible Bd Mlt-Ast N D-M USD-0.041.0410.516.6718.18  16.67     
野村策略轉機多重資產基金-月配類型人民幣計價Nomura Convertible Bd Mlt-Ast D-M CNY-0.560.048.6713.2111.37  13.21     
野村策略轉機多重資產基金-月配N類型人民幣計價Nomura Convertible Bd Mlt-Ast N D-M CNY-0.550.068.7113.2911.42  13.29     
聯邦臺灣精選收益多重資產基金-A新臺幣Union Taiwan Select Income Multi-Ast-A1.256.5811.1510.321.58  10.3     
聯邦臺灣精選收益多重資產基金-B新臺幣Union Taiwan Select Income Multi-Ast-B1.216.5311.1810.3521.56  10.35     
聯邦臺灣精選收益多重資產基金-ND新臺幣Union Taiwan Select Income Multi-Ast-ND1.216.4411.0810.1521.46  10.15     
聯邦臺灣精選收益多重資產基金-NA新臺幣Union Taiwan Select Income Multi-Ast-NA1.176.511.0610.2121.48  10.21     
凱基實質收息多重資產基金-新臺幣A(累積)KGI Real Assets Multi-asset Fund -TWD A-1.76-0.43.96.4314.81  6.43     
凱基實質收息多重資產基金-新臺幣B(月配)KGI Real Assets Multi-asset Fund -TWD B-1.76-0.393.926.4414.82  6.44     
凱基實質收息多重資產基金-新臺幣NA(累積)KGI Real Assets Multi-asset Fund -TWD NA-1.76-0.43.96.4314.81  6.43     
凱基實質收息多重資產基金-新臺幣NB(月配)KGI Real Assets Multi-asset Fund -TWD NB-1.76-0.393.926.4414.82  6.44     
凱基實質收息多重資產基金-美元A(累積)KGI Real Assets Multi-asset Fund -USD A-1.55-0.074.5510.2718.57  10.27     
凱基實質收息多重資產基金-美元B(月配)KGI Real Assets Multi-asset Fund -USD B-1.55-0.084.5310.2118.53  10.21     
凱基實質收息多重資產基金-美元NA(累積)KGI Real Assets Multi-asset Fund -USD NA-1.540.42-0.362.4410.13  2.44     
凱基實質收息多重資產基金-美元NB(月配)KGI Real Assets Multi-asset Fund -USD NB-1.55-0.14.4410.0718.37  10.07     
凱基實質收息多重資產基金-人民幣A(累積)KGI Real Assets Multi-asset Fund -CNY A-1.99-1.052.817.0813.97  7.08     
凱基實質收息多重資產基金-人民幣B(月配)KGI Real Assets Multi-asset Fund -CNY B-1.98-1.042.837.0913.98  7.09     
凱基實質收息多重資產基金-人民幣NA(累積)KGI Real Assets Multi-asset Fund -CNY NA-1.99-1.052.817.0813.97  7.08     
凱基實質收息多重資產基金-人民幣NB(月配)KGI Real Assets Multi-asset Fund -CNY NB-1.98-1.042.837.0913.98  7.09     
凱基實質收息多重資產基金-南非幣A(累積)KGI Real Assets Multi-asset Fund -ZAR A-1.82-0.184.5311.3222.06  11.32     
凱基實質收息多重資產基金-南非幣B(月配)KGI Real Assets Multi-asset Fund -ZAR B-1.81-0.174.5511.3722.12  11.37     
凱基實質收息多重資產基金-南非幣NB(月配)KGI Real Assets Multi-asset Fund -ZAR NB-1.81-0.174.5511.3722.12  11.37     
中國信託成長轉機多重資產基金-A類型新臺幣CTBC Growth Opportunities Mlt-Ast-TWD A-0.376.3218.1513.6135.04  13.61     
中國信託成長轉機多重資產基金-B類型新臺幣CTBC Growth Opportunities Mlt-Ast-TWD B-0.376.3918.213.6335.08  13.63     
中國信託成長轉機多重資產基金-A類型美元CTBC Growth Opportunities Mlt-Ast-USD A-0.453.3212.7717.9734.34  17.97     
中國信託成長轉機多重資產基金-NB類型新臺幣CTBC Growth Opportunities Mlt-Ast-TWD NB-0.376.3918.1813.6735.11  13.67     
中國信託成長轉機多重資產基金-B類型美元CTBC Growth Opportunities Mlt-Ast-USD B-0.453.3212.7717.9834.36  17.98     
中國信託成長轉機多重資產基金-NB類型美元CTBC Growth Opportunities Mlt-Ast-USD NB-0.443.3212.7717.9834.36  17.98     
東方匯理創新趨勢多重資產基金-A2 累積型(新臺幣)Amundi TW-Ino Trends Mlt Ast-A2 TWD-0.453.489.43.0828.5  3.08     
東方匯理創新趨勢多重資產基金-A2 累積型(美元)Amundi TW-Ino Trends Mlt Ast-A2 USD-0.510.33.997.5425.7  7.54     
東方匯理創新趨勢多重資產基金-AD 月配型(新臺幣)Amundi TW-Ino Trends Mlt Ast-AD TWD-0.473.429.353.0928.59  3.09     
東方匯理創新趨勢多重資產基金-AD 月配型(美元)Amundi TW-Ino Trends Mlt Ast-AD USD-0.470.284.037.5125.72  7.51     
東方匯理創新趨勢多重資產基金-N2 累積型(新臺幣)Amundi TW-Ino Trends Mlt Ast-N2 TWD-0.453.489.43.0828.5  3.08     
東方匯理創新趨勢多重資產基金-N2 累積型(美元)Amundi TW-Ino Trends Mlt Ast-N2 USD-0.510.34.077.5425.7  7.54     
東方匯理創新趨勢多重資產基金-ND 月配型(新臺幣)Amundi TW-Ino Trends Mlt Ast-ND TWD-0.473.519.353.0928.59  3.09     
東方匯理創新趨勢多重資產基金-ND 月配型(美元)Amundi TW-Ino Trends Mlt Ast-ND USD-0.470.284.037.5125.72  7.51     
柏瑞科技多重資產基金-A類型PineBridge Technology Multi-Ast-A0.163.059.046.5317.59  6.53     
柏瑞科技多重資產基金-B類型PineBridge Technology Multi-Ast-B0.163.059.076.5717.64  6.57     
柏瑞科技多重資產基金-N9類型PineBridge Technology Multi-Ast-N90.163.059.046.5317.59  6.53     
柏瑞科技多重資產基金-N類型PineBridge Technology Multi-Ast-N0.163.059.076.5717.64  6.57     
柏瑞科技多重資產基金-A類型(人民幣)PineBridge Technology Multi-Ast-A(CNY)-0.140.354.038.8411.56  8.84     
柏瑞科技多重資產基金-N類型(人民幣)PineBridge Technology Multi-Ast-N(CNY)-0.140.344.068.8911.62  8.89     
柏瑞科技多重資產基金-B類型(人民幣)PineBridge Technology Multi-Ast-B(CNY)-0.140.354.068.8911.62  8.89     
柏瑞科技多重資產基金-N9類型(人民幣)PineBridge Technology Multi-Ast-N9(CNY)-0.140.354.038.8411.56  8.84     
柏瑞科技多重資產基金-B類型(日幣)PineBridge Technology Multi-Ast-B(JPY)0.113.749.610.11   10.11     
柏瑞科技多重資產基金-N類型(日幣)PineBridge Technology Multi-Ast-N(JPY)0.113.749.610.11   10.11     
柏瑞科技多重資產基金-A類型(美元)PineBridge Technology Multi-Ast-A(USD)0.181.115.612.0917.19  12.09     
柏瑞科技多重資產基金-B類型(美元)PineBridge Technology Multi-Ast-B(USD)0.181.15.6312.1317.24  12.13     
柏瑞科技多重資產基金-N類型(美元)PineBridge Technology Multi-Ast-N(USD)0.181.15.6312.1317.24  12.13     
柏瑞科技多重資產基金-N9類型(美元)PineBridge Technology Multi-Ast-N9(USD)0.181.15.612.0917.19  12.09     
群益優化收益成長多重資產基金B(月配型-新台幣)Capital Enhanced Inc&Grw Mlt-Ast B TWD-1.185.1812.163.5829.01  3.58     
群益優化收益成長多重資產基金A(累積型-新台幣)Capital Enhanced Inc&Grw Mlt-Ast A TWD-1.185.1812.163.5829.01  3.58     
群益優化收益成長多重資產基金NA(累積型-新台幣)Capital Enhanced Inc&Grw Mlt-Ast NA TWD-1.185.1812.163.5729  3.57     
群益優化收益成長多重資產基金NB(月配型-新台幣)Capital Enhanced Inc&Grw Mlt-Ast NB TWD-1.185.1812.163.5729  3.57     
群益優化收益成長多重資產基金A(累積型-美元)Capital Enhanced Inc&Grw Mlt-Ast A USD-1.271.946.68826.14  8     
群益優化收益成長多重資產基金B(月配型-美元)Capital Enhanced Inc&Grw Mlt-Ast B USD-1.271.946.68826.13  8     
群益優化收益成長多重資產基金NB(月配型-美元)Capital Enhanced Inc&Grw Mlt-Ast NB USD-1.271.946.68826.13  8     
群益優化收益成長多重資產基金NA(累積型-美元)Capital Enhanced Inc&Grw Mlt-Ast NA USD-1.271.946.68826.13  8     
第一金全球永續影響力投資多重資產基金-累積型-新臺幣FSITC Gbl Stnbl Impct Invst MA-A-TWD0.341.816.37.3510  7.35     
第一金全球永續影響力投資多重資產基金-配息型-新臺幣FSITC Gbl Stnbl Impct Invst MA-B-TWD0.341.86.317.3710.01  7.37     
第一金全球永續影響力投資多重資產基金-配息型-美元FSITC Gbl Stnbl Impct Invst MA-B-USD0.32-0.572.412.068.62  12.06     
第一金全球永續影響力投資多重資產基金-累積型-美元FSITC Gbl Stnbl Impct Invst MA-A-USD0.32-0.572.3912.058.62  12.05     
東方匯理CIO精選收益基金-A2 累積型(新臺幣)Amundi TW-Sgntr CIO Inc-A2 TWD1.115.7411.126.6   6.6     
東方匯理CIO精選收益基金-N2 累積型(新臺幣)Amundi TW-Sgntr CIO Inc-N2 TWD1.115.7411.126.6   6.6     
東方匯理CIO精選收益基金-AD 月配型(新臺幣)Amundi TW-Sgntr CIO Inc-AD TWD1.085.7611.096.59   6.59     
東方匯理CIO精選收益基金-ND 月配型(新臺幣)Amundi TW-Sgntr CIO Inc-ND TWD1.085.7611.096.59   6.59     
東方匯理CIO精選收益基金-A2 累積型(美元)Amundi TW-Sgntr CIO Inc-A2 USD0.952.445.6711.07   11.07     
東方匯理CIO精選收益基金-N2 累積型(美元)Amundi TW-Sgntr CIO Inc-N2 USD0.952.445.5811.07   11.07     
東方匯理CIO精選收益基金-ND 月配型(美元)Amundi TW-Sgntr CIO Inc-ND USD0.962.445.5811.09   11.09     
東方匯理CIO精選收益基金-AD 月配型(美元)Amundi TW-Sgntr CIO Inc-AD USD0.972.455.5811.1   11.1     
路博邁ESG優選平衡基金T累積(新臺幣)Neuberger Berman ESG Qlty Slt Bln TWD TA0.383.337.14.24   4.24     
路博邁ESG優選平衡基金T月配(新臺幣)Neuberger Berman ESG Qlty Slt Bln TWD TM0.443.47.214.36   4.36     
路博邁ESG優選平衡基金N累積(新臺幣)Neuberger Berman ESG Qlty Slt Bln TWD NA0.383.337.14.24   4.24     
路博邁ESG優選平衡基金N月配(新臺幣)Neuberger Berman ESG Qlty Slt Bln TWD NM0.443.47.214.36   4.36     
路博邁ESG優選平衡基金T累積(美元)Neuberger Berman ESG Qlty Slt Bln USD TA0.370.933.058.64   8.64     
路博邁ESG優選平衡基金T月配(美元)Neuberger Berman ESG Qlty Slt Bln USD TM0.330.93.018.64   8.64     
路博邁ESG優選平衡基金N累積(美元)Neuberger Berman ESG Qlty Slt Bln USD NA0.370.933.058.64   8.64     
路博邁ESG優選平衡基金N月配(美元)Neuberger Berman ESG Qlty Slt Bln USD NM0.330.93.018.64   8.64     
瀚亞多重收益優化組合基金-B 日幣Eastspring Investments Optm Inc FoFsBJPY0.754.9910.0311.39   11.39     
兆豐收益增長多重資產基金-新台幣-配息型Mega Income & Growth Mlt-Ast TWD Dis0.094.9311.738.33   8.33     
兆豐收益增長多重資產基金-新台幣-累積型Mega Income & Growth Mlt-Ast TWD Acc0.094.9111.758.33   8.33     
兆豐收益增長多重資產基金-新台幣-後收配息型Mega Income & Growth Mlt-Ast TWD N Dis-0.014.8211.618.22   8.22     
兆豐收益增長多重資產基金-新台幣-後收累積型Mega Income & Growth Mlt-Ast TWD N Acc0.094.9111.758.33   8.33     
兆豐收益增長多重資產基金-美元-配息型Mega Income & Growth Mlt-Ast USD Dis0.011.796.4912.26   12.26     
兆豐收益增長多重資產基金-美元-累積型Mega Income & Growth Mlt-Ast USD Acc01.846.5112.38   12.38     
兆豐收益增長多重資產基金-美元-後收配息型Mega Income & Growth Mlt-Ast USD N Dis0.011.796.512.26   12.26     
兆豐收益增長多重資產基金-美元-後收累積型Mega Income & Growth Mlt-Ast USD N Acc01.846.5112.38   12.38     
合庫入息優化多重資產基金-B類(月配型)台幣TCB Diversified Inc Multi-Asset B TWD0.397.6414.9417.5   17.5     
合庫入息優化多重資產基金-A類(累積型)台幣TCB Diversified Inc Multi-Asset A TWD0.357.5814.8617.48   17.48     
合庫入息優化多重資產基金-NB類(月配型)台幣TCB Diversified Inc Multi-Asset NB TWD0.297.6514.8317.51   17.51     
合庫入息優化多重資產基金-A類(累積型)美金TCB Diversified Inc Multi-Asset A USD0.254.719.8923.58   23.58     
合庫入息優化多重資產基金-B類(累積型)美金TCB Diversified Inc Multi-Asset B USD0.314.739.7723.48   23.48     
合庫入息優化多重資產基金-NB類(月配型)美金TCB Diversified Inc Multi-Asset NB USD0.314.739.7723.35   23.35     
匯豐超核心多重資產基金-台幣不配息HSBC Super Core Multi-Asset - ACTWD0.183.929.158.44   8.44     
匯豐超核心多重資產基金-台幣月配息AM1HSBC Super Core Multi-Asset - AM1TWD0.183.929.158.44   8.44     
匯豐超核心多重資產基金-人民幣不配息HSBC Super Core Multi-Asset - ACRMB-0.22-0.092.2310.04   10.04     
匯豐超核心多重資產基金-台幣月配息AM2HSBC Super Core Multi-Asset - AM2TWD0.183.929.158.44   8.44     
匯豐超核心多重資產基金-人民幣月配息AM2HSBC Super Core Multi-Asset - AM2RMB-0.22-0.092.2310.04   10.04     
匯豐超核心多重資產基金-人民幣月配息AM1HSBC Super Core Multi-Asset - AM1RMB-0.22-0.092.2310.04   10.04     
匯豐超核心多重資產基金-美元不配息HSBC Super Core Multi-Asset - ACUSD0.090.713.8113.08   13.08     
匯豐超核心多重資產基金-美元月配息AM1HSBC Super Core Multi-Asset - AM1USD0.090.713.8113.08   13.08     
匯豐超核心多重資產基金-美元月配息AM2HSBC Super Core Multi-Asset - AM2USD0.090.713.8113.08   13.08     
匯豐超核心多重資產基金-澳幣不配息HSBC Super Core Multi-Asset - ACAUD-0.110.533.2110.54   10.54     
匯豐超核心多重資產基金-澳幣月配息AM1HSBC Super Core Multi-Asset - AM1AUD-0.110.533.2210.55   10.55     
匯豐超核心多重資產基金-澳幣月配息AM2HSBC Super Core Multi-Asset - AM2AUD-0.110.533.2110.54   10.54     
匯豐超核心多重資產基金-台幣不配息NHSBC Super Core Multi-Asset - NACTWD0.183.929.148.44   8.44     
匯豐超核心多重資產基金-台幣月配息NM2HSBC Super Core Multi-Asset - NM2TWD0.183.929.158.44   8.44     
匯豐超核心多重資產基金-人民幣不配息NHSBC Super Core Multi-Asset - NACRMB-0.22-0.092.2310.04   10.04     
匯豐超核心多重資產基金-人民幣月配息NM2HSBC Super Core Multi-Asset - NM2RMB-0.22-0.092.2310.04   10.04     
匯豐超核心多重資產基金-美元不配息NHSBC Super Core Multi-Asset - NACUSD0.090.713.8113.08   13.08     
匯豐超核心多重資產基金-美元月配息NM2HSBC Super Core Multi-Asset - NM2USD0.090.713.8113.08   13.08     
匯豐超核心多重資產基金-澳幣不配息NHSBC Super Core Multi-Asset - NACAUD-0.110.533.2110.54   10.54     
匯豐超核心多重資產基金-澳幣月配息NM2HSBC Super Core Multi-Asset - NM2AUD-0.110.533.2110.54   10.54     
野村全球科技多重資產基金-月配類型新臺幣Nomura Gbl Tech Multi-Asset DM NTD-1.856.2319.448.87   8.87     
野村全球科技多重資產基金-累積類型新臺幣Nomura Gbl Tech Multi-Asset Acc NTD-1.856.2419.468.85   8.85     
野村全球科技多重資產基金-月配N類型新臺幣Nomura Gbl Tech Multi-Asset N DM NTD-1.856.2219.448.88   8.88     
野村全球科技多重資產基金-累積N類型新臺幣Nomura Gbl Tech Multi-Asset N Acc NTD-1.856.2319.448.89   8.89     
野村全球科技多重資產基金-S類型新臺幣Nomura Gbl Tech Multi-Asset S NTD-1.791.241.24-14.18   -14.18     
野村全球科技多重資產基金-累積類型美元Nomura Gbl Tech Multi-Asset Acc USD-1.873.8215.412.27   12.27     
野村全球科技多重資產基金-月配類型美元Nomura Gbl Tech Multi-Asset DM USD-1.873.9115.4912.37   12.37     
野村全球科技多重資產基金-累積N類型美元Nomura Gbl Tech Multi-Asset N Acc USD-1.873.8215.3812.26   12.26     
野村全球科技多重資產基金-月配N類型美元Nomura Gbl Tech Multi-Asset N DM USD-1.873.8315.3912.27   12.27     
野村全球科技多重資產基金-月配類型人民幣Nomura Gbl Tech Multi-Asset DM CNY-2.951.9412.657.24   7.24     
野村全球科技多重資產基金-月配N類型人民幣Nomura Gbl Tech Multi-Asset N DM CNY-2.941.9412.667.25   7.25     
野村全球科技多重資產基金-月配類型日幣Nomura Gbl Tech Multi-Asset DM JPY-1.718.2322.2311.38   11.38     
野村全球科技多重資產基金-月配N類型日幣Nomura Gbl Tech Multi-Asset N DM JPY-1.718.2222.2111.37   11.37     
摩根大美國領先收成多重資產基金-累積型新臺幣JPMorgan (TW) U.S. High Inc (acc)-A TWD00.772.663.17   3.17     
摩根大美國領先收成多重資產基金-月配息型新臺幣JPMorgan (TW) U.S. High Inc (mth)-A TWD-0.020.682.563.21   3.21     
摩根大美國領先收成多重資產基金-月配息型美元JPMorgan (TW) U.S. High Inc (mth)-A USD-0.12-0.163.176.02   6.02     
摩根大美國領先收成多重資產基金-累積型美元JPMorgan (TW) U.S. High Inc (acc)-A USD-0.09-0.093.166.11   6.11     
摩根大美國領先收成多重資產基金-月配息後收型美元JPMorgan (TW) U.S. High Inc H (mth)-USD-0.12-0.163.176.02   6.02     
摩根大美國領先收成多重資產基金-月配息後收型新臺幣JPMorgan (TW) U.S. High Inc H (mth)-TWD-0.020.682.563.11   3.11     
路博邁ESG優選平衡基金T累積(澳幣)Neuberger Berman ESG Qlty Slt Bln AUD TA0000   0     
路博邁ESG優選平衡基金T月配(澳幣)Neuberger Berman ESG Qlty Slt Bln AUD TM0000   0     
路博邁ESG優選平衡基金N累積(澳幣)Neuberger Berman ESG Qlty Slt Bln AUD NA0000   0     
路博邁ESG優選平衡基金N月配(澳幣)Neuberger Berman ESG Qlty Slt Bln AUD NM0000   0     
路博邁ESG優選平衡基金T累積(南非幣)Neuberger Berman ESG Qlty Slt Bln ZAR TA0000   0     
路博邁ESG優選平衡基金T月配(南非幣)Neuberger Berman ESG Qlty Slt Bln ZAR TM0000   0     
路博邁ESG優選平衡基金N累積(南非幣)Neuberger Berman ESG Qlty Slt Bln ZAR NA0000   0     
路博邁ESG優選平衡基金N月配(南非幣)Neuberger Berman ESG Qlty Slt Bln ZAR NM0000   0     
富邦台灣優質多重資產基金Fubon Taiwan Quality Multi-Asset Fund0.89-1.0711.5   1.5     
匯豐超核心優化多重資產基金-台幣月配息AM2HSBC Super Core Optimized Mlt-Ast AM2TWD-0.483.086.276.22   6.22     
匯豐超核心優化多重資產基金-台幣不配息HSBC Super Core Optimized Mlt-Ast ACTWD-0.433.156.366.33   6.33     
匯豐超核心優化多重資產基金-台幣不配息NHSBC Super Core Optimized Mlt-Ast NACTWD-0.493.116.296.27   6.27     
匯豐超核心優化多重資產基金-台幣月配息NM2HSBC Super Core Optimized Mlt-Ast NM2TWD-0.493.076.266.21   6.21     
匯豐超核心優化多重資產基金-美元不配息HSBC Super Core Optimized Mlt-Ast ACUSD-0.56-0.081.0910.79   10.79     
匯豐超核心優化多重資產基金-美元月配息AM2HSBC Super Core Optimized Mlt-Ast AM2USD-0.58-0.091.0810.76   10.76     
匯豐超核心優化多重資產基金-美元不配息NHSBC Super Core Optimized Mlt-Ast NACUSD-0.59-0.11.0710.75   10.75     
匯豐超核心優化多重資產基金-美元月配息NM2HSBC Super Core Optimized Mlt-Ast NM2USD-0.59-0.11.0710.75   10.75     
匯豐超核心優化多重資產基金-南非幣不配息HSBC Super Core Optimized Mlt-Ast ACZAR-0.550.361.5710.83   10.83     
匯豐超核心優化多重資產基金-南非幣月配息AM2HSBC Super Core Optimized Mlt-Ast AM2ZAR-0.560.341.5410.81   10.81     
匯豐超核心優化多重資產基金-南非幣不配息NHSBC Super Core Optimized Mlt-Ast NACZAR-0.560.341.5410.81   10.81     
匯豐超核心優化多重資產基金-南非幣月配息NM2HSBC Super Core Optimized Mlt-Ast NM2ZAR-0.560.341.5410.81   10.81     
華南永昌全球科技多重資產基金(A類新台幣)Hua Nan Global Technology Mlt-Ast A TWD-0.941.257.462.53   2.53     
華南永昌全球科技多重資產基金(B類新台幣)Hua Nan Global Technology Mlt-Ast B TWD-0.821.37.412.6   2.6     
華南永昌全球科技多重資產基金(A類美元)Hua Nan Global Technology Mlt-Ast A USD-1.02-1.932.116.81   6.81     
華南永昌全球科技多重資產基金(B類美元)Hua Nan Global Technology Mlt-Ast B USD-1.02-2.032.026.4   6.4     
聯邦金鑽平衡基金-NA累積型(新臺幣)Union Golden Balanced Fund NA TWD3.3218.3930.6732.79   32.79     
合庫AI多重資產基金-B類(月配型)台幣TCB Multi-Asset AI Theme Fund B TWD-3.07-0.310.1810.52   10.52     
合庫AI多重資產基金-A類(累積型)台幣TCB Multi-Asset AI Theme Fund A TWD-3-0.2710.2210.55   10.55     
合庫AI多重資產基金-A類(累積型)美元TCB Multi-Asset AI Theme Fund A TUSD-2.98-0.429.9318.84   18.84     
合庫AI多重資產基金-NB類(月配型)台幣TCB Multi-Asset AI Theme Fund NB TWD-3.07-0.310.1810.52   10.52     
合庫AI多重資產基金-NB類(月配型)美元TCB Multi-Asset AI Theme Fund NB USD-2.87-0.379.8918.79   18.79     
合庫AI多重資產基金-B類(月配型)美元TCB Multi-Asset AI Theme Fund B USD-2.95-0.279.8619.21   19.21     
合庫AI多重資產基金-B類(月配型)人民幣TCB Multi-Asset AI Theme Fund B CNY-4.21-2.47.3313.26   13.26     
合庫AI多重資產基金-A類(累積型)人民幣TCB Multi-Asset AI Theme Fund A CNY-4.17-2.347.4513.29   13.29     
國泰美國多重收益平衡基金-日圓B(配息)Cathay US Multi-Income Balanced B JPY-0.15511.288.05   8.05     
兆豐ESG台美永續雙盈多重資產基金(新台幣)-配息型Mega ESG TW-US Stn Dbl Prft MA TWD Dis1.826.6115.868.44   8.44     
兆豐ESG台美永續雙盈多重資產基金(新台幣)-累積型Mega ESG TW-US Stn Dbl Prft MA TWD Acc1.826.6115.898.45   8.45     
兆豐ESG台美永續雙盈多重資產基金(美元)-累積型Mega ESG TW-US Stn Dbl Prft MA USD Acc1.794.4512.0510.1   10.1     
兆豐ESG台美永續雙盈多重資產基金(新台幣)-後收配息型Mega ESG TW-US Stn Dbl Prft MA TWD N Dis1.826.6115.868.44   8.44     
兆豐ESG台美永續雙盈多重資產基金(美元)-後收配息型Mega ESG TW-US Stn Dbl Prft MA USD N Dis1.794.4612.0810.13   10.13     
兆豐ESG台美永續雙盈多重資產基金(美元)-配息型Mega ESG TW-US Stn Dbl Prft MA USD Dis1.694.3611.9710.02   10.02     
野村全球科技多重資產基金-S類型美元Nomura Gbl Tech Multi-Asset S USD-1.813.9815.7513.02   13.02     
富蘭克林華美多重資產收益基金-新台幣NA累積型Franklin Templeton SA Mlt-Ast Inc-NA TWD-0.754.7211.41          
富蘭克林華美多重資產收益基金-新台幣NB分配型Franklin Templeton SA Mlt-Ast Inc-NB TWD-0.794.5911.366.92   6.92     
富蘭克林華美多重資產收益基金-美元NA累積型Franklin Templeton SA Mlt-Ast Inc-NA USD-0.91.475.93          
富蘭克林華美多重資產收益基金-美元NB分配型Franklin Templeton SA Mlt-Ast Inc-NB USD-0.821.445.9          
合庫核心趨勢多重資產基金B類型(新台幣)TCB Core Trends Multi-Asset Fund B TWD0.864.4413.87          
合庫核心趨勢多重資產基金A類型(新台幣)TCB Core Trends Multi-Asset Fund A TWD0.84.4313.88          
合庫核心趨勢多重資產基金NB類型(新台幣)TCB Core Trends Multi-Asset Fund NB TWD0.774.4413.87          
合庫核心趨勢多重資產基金A類型(美元)TCB Core Trends Multi-Asset Fund A TUSD0.761.188.88          
合庫核心趨勢多重資產基金NB類型(美元)TCB Core Trends Multi-Asset Fund NB USD0.761.248.34          
合庫核心趨勢多重資產基金B類型(美元)TCB Core Trends Multi-Asset Fund B USD0.761.168.9          
瀚亞多重收益優化組合基金S類型-日幣Eastspring Investments Optm Inc FoFsSJPY0.75510.03          
統一優選低波多重資產基金-月配型UPAMC Quality Low Vltlty Mlt-Ast-MD3.1810.718.68          
統一優選低波多重資產基金-累積型UPAMC Quality Low Vltlty Mlt-Ast-ACC3.1810.718.68          
東方匯理CIO精選均衡基金-N2 累積型(新臺幣)Amundi TW-Sgntr CIO Balanced-N2 TWD1.136.3914.09          
東方匯理CIO精選均衡基金-A2 累積型(新臺幣)Amundi TW-Sgntr CIO Balanced-A2 TWD1.046.3914.09          
東方匯理CIO精選均衡基金-ND 月配型(新臺幣)Amundi TW-Sgntr CIO Balanced-ND TWD1.016.3114.03          
東方匯理CIO精選均衡基金-AD 月配型(新臺幣)Amundi TW-Sgntr CIO Balanced-AD TWD1.016.3114.03          
東方匯理CIO精選均衡基金-A2 累積型(美元)Amundi TW-Sgntr CIO Balanced-A2 USD13.068.49          
東方匯理CIO精選均衡基金-N2 累積型(美元)Amundi TW-Sgntr CIO Balanced-N2 USD13.068.49          
東方匯理CIO精選均衡基金-AD 月配型(美元)Amundi TW-Sgntr CIO Balanced-AD USD0.973.058.48          
東方匯理CIO精選均衡基金-ND 月配型(美元)Amundi TW-Sgntr CIO Balanced-ND USD0.973.058.48          
施羅德台美雙利多重資產基金(新台幣)-A累積型Schroder TW-US Opptnt Mlt-Ast(TWD)-A Acc4.0415.9227.5          
施羅德台美雙利多重資產基金(新台幣)-B配息型Schroder TW-US Opptnt Mlt-Ast(TWD)-B Dis4.0515.9227.53          
施羅德台美雙利多重資產基金(美元)-A累積型Schroder TW-US Opptnt Mlt-Ast(USD)-A Acc3.8812.220.78          
施羅德台美雙利多重資產基金(美元)-B配息型Schroder TW-US Opptnt Mlt-Ast(USD)-B Dis3.9712.221.02          
台新全球傘型基金之台新收益領航多重資產基金(後收累積)-新臺幣NATaishin Income Leading Mlt-Ast NA TWD1.214.215.09          
台新全球傘型基金之台新收益領航多重資產基金(累積)-新臺幣ATaishin Income Leading Mlt-Ast A TWD1.214.1915.19          
台新全球傘型基金之台新收益領航多重資產基金(月配)-新臺幣BTaishin Income Leading Mlt-Ast B TWD1.214.1615.11          
台新全球傘型基金之台新收益領航多重資產基金(累積)-美元ATaishin Income Leading Mlt-Ast A USD1.120.998.83          
台新全球傘型基金之台新收益領航多重資產基金(後收月配)-新臺幣NBTaishin Income Leading Mlt-Ast NB TWD1.214.1615.11          
台新全球傘型基金之台新收益領航多重資產基金(月配)美元BTaishin Income Leading Mlt-Ast B USD1.1818.93          
台新全球傘型基金之台新收益領航多重資產基金(後收累積)美元NATaishin Income Leading Mlt-Ast NA USD1.141.049.3          
台新全球傘型基金之台新收益領航多重資產基金(累積)-人民幣ATaishin Income Leading Mlt-Ast A CNH-0.1-0.876.34          
台新全球傘型基金之台新收益領航多重資產基金(後收月配)-美元NBTaishin Income Leading Mlt-Ast NB USD1.1519.44          
台新全球傘型基金之台新收益領航多重資產基金(月配)-人民幣BTaishin Income Leading Mlt-Ast B CNH-0.12-0.816.19          
台新全球傘型基金之台新收益領航多重資產基金(後收累積)-人民幣NATaishin Income Leading Mlt-Ast NA CNH-0.12-0.876.87          
台新全球傘型基金之台新收益領航多重資產基金(累積)-日圓ATaishin Income Leading Mlt-Ast A JPY1.617.3118.19          
台新全球傘型基金之台新收益領航多重資產基金(後收月配)-人民幣NBTaishin Income Leading Mlt-Ast NB CNH-0.12-0.846.82          
台新全球傘型基金之台新收益領航多重資產基金(月配)-日圓BTaishin Income Leading Mlt-Ast B JPY1.426.3716.91          
台新全球傘型基金之台新收益領航多重資產基金(後收累積)-日圓NATaishin Income Leading Mlt-Ast NA JPY1.416.8918.75          
台新全球傘型基金之台新收益領航多重資產基金(後收月配)-日圓NBTaishin Income Leading Mlt-Ast NB JPY1.386.8918.72          
施羅德台美雙利多重資產基金(新台幣)-NB配息型Schroder TW-US Opt Mlt-Ast (TWD)-NB Dis4.0515.9227.53          
施羅德台美雙利多重資產基金(新台幣)-NA累積型Schroder TW-US Opt Mlt-Ast (TWD)-NA Acc4.0415.8127.5          
施羅德台美雙利多重資產基金(美元)-NB配息型Schroder TW-US Opt Mlt-Ast (USD)-NB Dis3.8812.221.02          
施羅德台美雙利多重資產基金(美元)-NA累積型Schroder TW-US Opt Mlt-Ast (USD)-NA Acc3.8812.1120.69          
柏瑞日本多重資產基金-A類型PineBridge Japan Multi-Asset -A(TWD)0.114.74           
柏瑞日本多重資產基金-B類型PineBridge Japan Multi-Asset -B(TWD)0.114.75           
柏瑞日本多重資產基金-N類型PineBridge Japan Multi-Asset -N(TWD)0.114.75           
柏瑞日本多重資產基金-N9類型PineBridge Japan Multi-Asset -N9(TWD)0.114.75           
柏瑞日本多重資產基金-I類型PineBridge Japan Multi-Asset -I(TWD)0.17            
柏瑞日本多重資產基金-A類型(日幣)PineBridge Japan Multi-Asset -A(JPY)-0.166.99           
柏瑞日本多重資產基金-B類型(日幣)PineBridge Japan Multi-Asset -B(JPY)-0.167           
柏瑞日本多重資產基金-N類型(日幣)PineBridge Japan Multi-Asset -N(JPY)-0.167           
柏瑞日本多重資產基金-N9類型(日幣)PineBridge Japan Multi-Asset -N9(JPY)-0.167           
富邦雙核心戰略多重資產基金-A類型(新台幣)Fubon Dual-Core Strtgy Mlt-Ast A (TWD)1.84.57           
富邦雙核心戰略多重資產基金-NA類型(新台幣)Fubon Dual-Core Strtgy Mlt-Ast NA (TWD)1.84.57           
富邦雙核心戰略多重資產基金-B類型(新台幣)Fubon Dual-Core Strtgy Mlt-Ast B (TWD)1.84.57           
富邦雙核心戰略多重資產基金-A類型(人民幣)Fubon Dual-Core Strtgy Mlt-Ast A (CNY)0.33-0.83           
富邦雙核心戰略多重資產基金-NB類型(新台幣)Fubon Dual-Core Strtgy Mlt-Ast NB (TWD)1.84.57           
富邦雙核心戰略多重資產基金-B類型(人民幣)Fubon Dual-Core Strtgy Mlt-Ast B (CNY)0.33-0.83           
富邦雙核心戰略多重資產基金-NA類型(人民幣)Fubon Dual-Core Strtgy Mlt-Ast NA (CNY)0.33-0.83           
富邦雙核心戰略多重資產基金-A類型(美元)Fubon Dual-Core Strtgy Mlt-Ast A (USD)1.71.34           
富邦雙核心戰略多重資產基金-NB類型(人民幣)Fubon Dual-Core Strtgy Mlt-Ast NB (CNY)0.33-0.83           
富邦雙核心戰略多重資產基金-B類型(美元)Fubon Dual-Core Strtgy Mlt-Ast B (USD)1.71.34           
富邦雙核心戰略多重資產基金-NA類型(美元)Fubon Dual-Core Strtgy Mlt-Ast NA (USD)1.71.34           
富邦雙核心戰略多重資產基金-NB類型(美元)Fubon Dual-Core Strtgy Mlt-Ast NB (USD)1.71.34           
中國信託科技趨勢多重資產基金-TISA級別CTBC Global Tech Trnds Mlt-Ast-TWD TISA-0.144.51           
富蘭克林華美多重資產收益基金-新臺幣TISAFranklin Templeton SA Mlt-Ast TISA-0.744.81           
柏瑞美利堅多重資產收益基金-B類型PineBridge US Multi-Asset Income-B-0.21            
柏瑞美利堅多重資產收益基金-A類型PineBridge US Multi-Asset Income-A-0.21            
柏瑞美利堅多重資產收益基金-N9類型PineBridge US Multi-Asset Income-N9-0.21            
柏瑞美利堅多重資產收益基金-N類型PineBridge US Multi-Asset Income-N-0.21            
柏瑞美利堅多重資產收益基金-A類型(美元)PineBridge US Multi-Asset Income-A(USD)-0.22            
柏瑞美利堅多重資產收益基金-B類型(美元)PineBridge US Multi-Asset Income-B(USD)-0.22            
柏瑞美利堅多重資產收益基金-N類型(美元)PineBridge US Multi-Asset Income-N(USD)-0.22            
柏瑞美利堅多重資產收益基金-N9類型(美元)PineBridge US Multi-Asset Income-N9(USD)-0.22            
柏瑞美利堅多重資產收益基金-B類型(日幣)PineBridge US Multi-Asset Income-B(JPY)-0.26            
柏瑞美利堅多重資產收益基金-N類型(日幣)PineBridge US Multi-Asset Income-N(JPY)-0.26            
柏瑞美利堅多重資產收益基金-N9類型(日幣)PineBridge US Multi-Asset Income-N9(JPY)-0.26            
野村多元收益多重資產基金-TISA類型新臺幣計價Nomura Multi Income Multi-Asset TISA-0.791.74           
東方匯理全球多重資產成長收益基金-A2新臺幣Amundi TW-Multi Ast Gr & Inc Fd-A2 TWD-0.29            
東方匯理全球多重資產成長收益基金-N2新臺幣Amundi TW-Multi Ast Gr & Inc Fd-N2 TWD-0.29            
東方匯理全球多重資產成長收益基金-ND新臺幣Amundi TW-Multi Ast Gr & Inc Fd-ND TWD-0.29            
東方匯理全球多重資產成長收益基金-AD新臺幣Amundi TW-Multi Ast Gr & Inc Fd-AD TWD-0.29            
東方匯理全球多重資產成長收益基金-A2美元Amundi TW-Multi Ast Gr & Inc Fd-A2 USD-0.4            
東方匯理全球多重資產成長收益基金-N2美元Amundi TW-Multi Ast Gr & Inc Fd-N2 USD-0.4            
東方匯理全球多重資產成長收益基金-AD美元Amundi TW-Multi Ast Gr & Inc Fd-AD USD-0.4            
東方匯理全球多重資產成長收益基金-ND美元Amundi TW-Multi Ast Gr & Inc Fd-ND USD-0.4            
中國信託策略優利多重資產證券基金-台幣ACTBC Opti-enhanced Inc Mlt-Ast Fd TWD A0.16            
中國信託策略優利多重資產證券基金-台幣BCTBC Opti-enhanced Inc Mlt-Ast Fd TWD B0.16            
中國信託策略優利多重資產證券基金-台幣NBCTBC Opti-enhanced Inc Mlt-Ast Fd TWD NB0.16            
中國信託策略優利多重資產證券基金-美元ACTBC Opti-enhanced Inc Mlt-Ast Fd USD A0.06            
中國信託策略優利多重資產證券基金-美元BCTBC Opti-enhanced Inc Mlt-Ast Fd USD B0.06            
中國信託策略優利多重資產證券基金-美元NBCTBC Opti-enhanced Inc Mlt-Ast Fd USD NB0.06            
兆豐雙動能組合基金美元Mega Dual Momentum Fund of Funds USD2.21            
兆豐雙動能組合基金新臺幣Mega Dual Momentum Fund of Funds TWD2.33            
聯邦日本收益成長多重資產基金-B配息型(新臺幣)Union Japan Inc&Grwth Mlt-Ast-B TWD-0.18            
聯邦日本收益成長多重資產基金-A累積型(新臺幣)Union Japan Inc&Grwth Mlt-Ast-A TWD-0.18            
聯邦日本收益成長多重資產基金-ND配息型(新臺幣)Union Japan Inc&Grwth Mlt-Ast-ND TWD-0.18            
聯邦日本收益成長多重資產基金-NA累積型(新臺幣)Union Japan Inc&Grwth Mlt-Ast-NA TWD-0.18            
聯邦日本收益成長多重資產基金-B配息型(美元)Union Japan Inc&Grwth Mlt-Ast-B USD-0.27            
聯邦日本收益成長多重資產基金-A累積型(美元)Union Japan Inc&Grwth Mlt-Ast-A USD-0.27            
聯邦日本收益成長多重資產基金-ND配息型(美元)Union Japan Inc&Grwth Mlt-Ast-ND USD-0.27            
聯邦日本收益成長多重資產基金-NA累積型(美元)Union Japan Inc&Grwth Mlt-Ast-NA USD-0.27            
聯邦日本收益成長多重資產基金-B配息型(日圓)Union Japan Inc&Grwth Mlt-Ast-B JPY0.03            
聯邦日本收益成長多重資產基金-A累積型(日圓)Union Japan Inc&Grwth Mlt-Ast-A JPY0.03            
聯邦日本收益成長多重資產基金-ND配息型(日圓)Union Japan Inc&Grwth Mlt-Ast-ND JPY0.03            
聯邦日本收益成長多重資產基金-NA累積型(日圓)Union Japan Inc&Grwth Mlt-Ast-NA JPY0.03            




※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
©2014晨星有限公司。版權所有。晨星提供的資料:(1)為晨星及(或)其內容供應商的獨有資產;(2)未經許可不得複製或轉載;及(3)晨星未就資料的完整性、準確性及即時性作出任何保證。晨星及其內容供應商對於因使用相關資料而作出的交易決定均不承擔任何責任。過往績效紀錄不能保證未來投資結果。