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。
5.3221
2024-05-06
0.11%
0.80%
6.34%
3.95%
10.91%
0.36%
14.7695
2024-05-06
0.11%
0.80%
6.34%
3.95%
10.90%
0.36%
77.78
2024-05-06
0.32%
0.58%
9.13%
3.13%
13.29%
10.73%
51.71
2024-05-06
0.25%
0.42%
10.00%
2.86%
14.99%
12.74%
78.41
2024-05-06
0.45%
0.56%
6.95%
1.65%
9.55%
3.39%
209.01
2024-05-06
0.45%
0.56%
6.93%
1.64%
9.53%
3.38%
11.11
2024-05-06
0.09%
0.45%
6.83%
2.68%
10.66%
4.12%
5.12
2024-05-06
0.20%
0.50%
6.88%
2.64%
10.68%
4.12%
6.89
2024-05-06
0.44%
0.54%
6.22%
1.26%
7.91%
-0.56%
13.63
2024-05-06
0.44%
0.44%
6.15%
1.19%
7.83%
-0.73%
3.12
2024-05-06
0.32%
0.29%
8.57%
1.79%
12.00%
2.32%
5.88
2024-05-06
0.17%
0.21%
7.50%
2.01%
10.00%
0.19%
29.3
2024-05-06
0.31%
0.34%
7.56%
2.09%
10.07%
0.31%
8.08
2024-05-06
0.37%
0.23%
8.40%
1.91%
11.88%
2.26%
17.48
2024-05-06
0.23%
0.23%
8.37%
1.86%
11.84%
2.22%
8.2797
2024-05-06
0.14%
0.39%
5.11%
2.15%
7.34%
N/A
10.1761
2024-05-06
0.14%
0.39%
5.10%
2.16%
7.34%
N/A
5.66
2024-05-06
0.35%
0.26%
6.87%
1.71%
8.37%
-3.48%
7.47
2024-05-06
0.27%
0.09%
7.63%
1.41%
10.18%
-1.85%
1975.97
2024-05-06
0.14%
0.67%
8.01%
2.04%
11.49%
9.53%
25.41
2024-05-06
0.12%
0.43%
7.08%
1.28%
9.62%
2.67%
8.05
2024-05-06
0.12%
0.45%
7.01%
1.28%
9.62%
2.60%
17.38
2024-05-06
0.12%
0.12%
6.50%
0.64%
7.55%
-0.97%
7.92
2024-05-06
0.13%
0.04%
6.44%
0.63%
7.61%
-0.97%
13.4362
2024-05-06
0.20%
0.18%
5.45%
0.63%
7.03%
-3.77%
407.71
2024-05-06
0.19%
0.33%
6.43%
0.16%
7.28%
-5.80%
125.62
2024-05-06
0.14%
0.46%
6.46%
0.95%
8.34%
-1.37%
6.56
2024-05-06
0.61%
-0.02%
5.40%
0.43%
6.61%
-3.31%
118.41
2024-05-06
0.15%
0.39%
5.80%
0.59%
6.54%
-4.96%