1. 基金及ETF推薦排名,係基金績效相對優異之基金排行整理,並參考熱門基金排名,並非未來基金排行之預測,亦非基金投資建議,申購前請先諮詢專業機構。
2. 年化配息率 =(每單位配息金額 / 基準日淨值 × 每年配息次數) × 100%。ETF配息率之試算僅供參考,請勿作為投資依據。
79
2024-07-26
0.13%
1.62%
5.77%
6.35%
13.88%
11.64%
214.64
2024-07-25
-0.13%
1.53%
4.86%
4.38%
10.02%
4.39%
79.32
2024-07-25
-0.14%
1.52%
4.86%
4.39%
10.03%
4.39%
52.01
2024-07-26
0.17%
1.73%
5.50%
5.76%
14.09%
12.89%
6.97
2024-07-25
-0.14%
1.42%
4.21%
3.70%
8.42%
0.15%
1954.81
2024-07-25
0.13%
1.36%
4.49%
4.77%
12.27%
10.26%
13.95
2024-07-25
-0.14%
1.38%
4.18%
3.56%
8.31%
-0.07%
8.3732
2024-07-23
0.09%
1.82%
5.21%
5.44%
9.17%
3.49%
10.5046
2024-07-23
0.09%
1.82%
5.22%
5.45%
9.17%
3.51%
5.97
2024-07-26
0.17%
1.42%
4.41%
4.76%
10.82%
1.51%
416.55
2024-07-25
-0.01%
1.52%
2.88%
2.33%
8.15%
-4.05%
30.04
2024-07-26
0.10%
1.38%
4.34%
4.67%
10.77%
1.45%
3.15
2024-07-26
0.32%
1.58%
4.03%
4.03%
11.18%
2.87%
17.87
2024-07-26
0.22%
1.48%
4.08%
4.14%
10.99%
2.82%
5.74
2024-07-26
0.17%
1.33%
3.71%
4.08%
9.36%
-2.53%
8.15
2024-07-26
0.12%
1.36%
3.34%
3.60%
10.29%
3.71%
25.99
2024-07-26
0.12%
1.33%
3.34%
3.59%
10.31%
3.71%
8.11
2024-07-26
0.12%
1.48%
4.05%
4.05%
10.89%
2.76%
124.97
2024-07-25
-0.01%
1.11%
2.93%
2.94%
9.04%
-0.47%
5.4042
2024-07-23
0.07%
2.07%
5.69%
6.61%
10.91%
2.00%
15.1479
2024-07-23
0.07%
2.07%
5.69%
6.61%
10.91%
1.99%
5.17
2024-07-23
0.19%
1.88%
5.10%
5.10%
9.90%
5.24%
117.73
2024-07-25
0%
1.02%
2.39%
2.32%
7.49%
-4.22%
11.37
2024-07-23
0%
1.79%
4.89%
5.08%
9.86%
5.18%
7.49
2024-07-26
0.13%
1.30%
3.38%
3.24%
9.30%
-1.67%
10.2982
2024-07-23
-0.03%
1.90%
N/A
4.02%
N/A
N/A
17.66
2024-07-23
0.11%
1.15%
2.91%
2.26%
7.36%
-1.18%
7.94
2024-07-23
0.13%
1.05%
2.88%
2.24%
7.31%
-1.11%
6.5669
2024-07-23
0.08%
0.98%
2.37%
2.08%
6.87%
-3.73%
13.6302
2024-07-23
0.08%
0.98%
2.37%
2.08%
6.88%
-3.71%