同類基金比較
- 配息基準日每單位配息金額0.35470.35470.35470.35470.35470.35470.35470.35470.35470.35470.3547年化配息率(%)18.5518.0918.1318.1418.22181817.5317.6817.5217.16配息來自本金比例55.20%64.37%11.10%50.79%56.83%58.83%53.32%37.74%56.03%51.74%63.54%
- 配息基準日每單位配息金額0.590.590.680.680.680.680.680.680.680.680.68年化配息率(%)15.8115.2717.717.9917.9917.5917.7217.2217.141716.75配息來自本金比例N/A77.59%79.26%80.05%80.24%78.81%78.66%71.63%85.72%83.16%79.92%
- 配息基準日每單位配息金額1.41.41.541.541.541.541.541.541.541.541.54年化配息率(%)13.613.414.7214.7814.7814.6714.6514.4314.2814.1113.96配息來自本金比例N/A70.30%68.85%72.83%76.67%70.22%75.92%78.91%78.37%77.77%75.02%
- 配息基準日每單位配息金額0.04259170.03602160.0399360.03854230.0346890.03915580.03730780.03948480.03543390.03595960.0376144年化配息率(%)11.8910.0511.2310.819.7411.0610.6711.0910.0410.2711.01配息來自本金比例26.51%33.51%17.22%27.93%27.88%72.34%23.93%73.07%54.91%18.61%15.66%
野村基金(愛爾蘭系列)-美國非投資等級債券基金(TD美元類股)
配息基準日每單位配息金額0.690.5070.5070.5070.5070.5070.5070.5070.5070.5070.413年化配息率(%)11.688.468.518.588.668.688.688.538.578.516.88配息來自本金比例N/A42.99%41.30%41.80%40.29%37.23%38.62%40.38%42.68%37.18%23.98%- 配息基準日每單位配息金額0.05088850.04175520.04903110.04571230.04126560.04703820.04469670.04786890.04357920.04526230.0471432年化配息率(%)11.189.0810.6910.029.1110.49.8810.429.489.7910.16配息來自本金比例23.46%21.43%18.92%18.24%18.53%81.77%15.06%81.87%0%19.10%15.99%
聯博-全球非投資等級債券基金AA(穩定月配)級別美元(原 聯博-全球高收益債券基金)
配息基準日每單位配息金額0.06850.06850.06850.06850.06850.06850.06850.06850.06850.06850.0685年化配息率(%)10.159.9910.0510.1210.1910.1910.179.9910.05109.92配息來自本金比例N/AN/A38.00%45.00%52.00%39.00%42.00%29.00%49.00%35.00%35.00%- 配息基準日每單位配息金額0.070.070.070.070.070.070.070.070.070.070.07年化配息率(%)10.069.889.9610.0610.110.1410.249.9310.0110.0710.13配息來自本金比例100.00%100.00%92.81%7.27%100.00%88.64%7.24%65.87%100.00%100.00%100.00%
- 配息基準日每單位配息金額1.035081.050221.036811.044391.047661.054221.038481.059311.043120.8255120.835782年化配息率(%)10101010101010101088配息來自本金比例N/A92.00%87.00%88.00%97.00%84.00%79.00%93.00%93.00%87.00%62.00%
- 配息基準日每單位配息金額1.321.321.321.321.321.321.321.321.321.321.32年化配息率(%)9.479.389.559.729.729.529.689.449.669.79.65配息來自本金比例N/A52.11%50.32%51.36%49.59%48.82%51.23%50.36%52.42%56.09%50.22%
- 配息基準日每單位配息金額0.0690.0690.0690.0690.0690.0690.0690.0690.070.070.07年化配息率(%)9.359.449.519.649.379.499.569.519.579.659.72配息來自本金比例N/A70.00%71.00%74.00%75.00%73.00%77.00%80.00%79.00%86.00%80.00%
- 配息基準日每單位配息金額0.0770.0770.0770.0770.0770.0770.0770.0770.0770.0770.077年化配息率(%)9.339.239.259.249.249.249.249.229.249.229.31配息來自本金比例N/AN/A14.00%54.00%36.00%22.00%18.00%21.00%17.00%9.00%19.00%
- 配息基準日每單位配息金額0.1230.1230.1230.11750.11750.11750.11750.1110.1110.1110.0655年化配息率(%)9.329.499.759.668.95N/A9.499.539.079.215.64配息來自本金比例N/A0%0%0%0%N/A0%0%0%0%0%
富蘭克林坦伯頓全球投資系列-新興國家固定收益基金美元A (Mdis)股
配息基準日每單位配息金額0.0310.0310.0310.0310.0310.0390.0370.0290.0320.0290.024年化配息率(%)9.199.019.039.289.2511.4710.68.219.048.477.08配息來自本金比例N/AN/A3.00%2.00%6.00%19.00%17.00%21.00%17.00%23.00%26.00%- 配息基準日每單位配息金額0.62440.62440.62440.62440.62440.62440.62440.62440.62440.62440.6259年化配息率(%)9.1898.989.059.039.018.999.269.079.129.1配息來自本金比例N/AN/A0%0%0%100.00%0%100.00%0%0%0%
- 配息基準日每單位配息金額0.1150.1150.1150.1150.09960.09960.09960.09960.09960.09960.095年化配息率(%)8.99.029.29.437.627.978.257.878.018.338.3配息來自本金比例N/A63.00%85.00%100.00%30.00%0%0%0%0%100.00%89.00%
野村基金(愛爾蘭系列)-全球多元收益債券基金(TD美元類股)
配息基準日每單位配息金額0.5580.440.440.440.440.440.440.440.440.440.398年化配息率(%)8.856.826.896.966.99776.886.946.96.17配息來自本金比例N/A49.49%45.89%52.19%52.16%47.69%44.96%56.18%52.44%31.82%40.33%- 配息基準日每單位配息金額0.0630.0630.0630.0630.0630.0630.0630.0630.0630.0630.063年化配息率(%)8.388.248.348.478.618.618.688.438.578.568.58配息來自本金比例N/AN/A76.00%80.00%74.00%68.00%75.00%64.00%76.00%77.00%76.00%
- 配息基準日每單位配息金額0.046220.046220.046220.046220.046220.046220.046220.046220.048790.048790.04879年化配息率(%)8.378.058.158.48.118.2388.258.699.079.02配息來自本金比例N/A100.00%97.00%100.00%27.00%0%36.00%42.00%100.00%100.00%100.00%
路博邁投資基金 - NB非投資等級債券基金T月配息類股(美元)
配息基準日每單位配息金額0.0405630.0447950.0460330.0457450.0439130.0453240.0437210.0459150.0428010.0460060.046482年化配息率(%)8.138.869.159.158.869.148.859.158.569.149.17配息來自本金比例41.01%17.16%17.23%31.62%40.27%43.36%34.64%44.74%46.36%51.89%51.13%路博邁投資基金 - NB新興市場本地貨幣債券基金T月配息類股(美元)
配息基準日每單位配息金額0.0274190.0317270.0318970.0312610.0297970.0314450.0302390.03230.0304720.0330750.033984年化配息率(%)8.128.859.169.158.859.168.859.148.569.159.16配息來自本金比例32.80%61.09%63.47%57.05%51.07%57.65%47.70%44.85%58.32%58.22%53.45%富蘭克林坦伯頓全球投資系列-穩定月收益基金美元A (Mdis)股
配息基準日每單位配息金額0.0670.0670.0670.0670.0670.0670.0670.0670.0670.0670.067年化配息率(%)8.067.998.088.248.258.248.258.258.238.258.19配息來自本金比例N/AN/A33.00%48.00%44.00%38.00%35.00%44.00%39.00%46.00%44.00%瑞銀 (盧森堡) 全球收益永續股票基金 (美元) (月配息)
配息基準日每單位配息金額0.68060.69320.6890.6720.66060.66410.64670.66130.64330.63250.6319年化配息率(%)7.967.948.118.177.928.137.758.127.918.057.96配息來自本金比例N/A58.23%11.60%38.80%100.00%24.03%11.71%44.86%80.96%62.11%70.78%- 配息基準日每單位配息金額0.07590.07590.07590.07590.07590.07590.07590.07590.07590.07590.0759年化配息率(%)7.877.797.817.827.827.837.847.847.877.867.93配息來自本金比例N/AN/A0%44.00%16.00%4.00%0%8.00%0%0%0%
- 配息基準日每單位配息金額0.0550.0550.0550.0550.0550.0550.0550.0550.0550.0550.055年化配息率(%)7.817.97.978.087.877.988.058.027.968.048.11配息來自本金比例N/A84.00%80.00%84.00%80.00%78.00%81.00%82.00%79.00%87.00%78.00%
- 配息基準日每單位配息金額0.06050.06050.06050.06050.06050.06050.06050.06050.06050.06050.0605年化配息率(%)7.67.387.437.557.637.77.727.527.557.457.39配息來自本金比例N/AN/A40.00%38.00%45.00%36.00%37.00%34.00%37.00%35.00%30.00%
- 配息基準日每單位配息金額0.05680.05680.05680.05680.05680.05680.05680.05680.05680.05680.0568年化配息率(%)7.577.437.537.687.757.777.817.647.767.787.66配息來自本金比例N/AN/A13.00%11.00%16.00%8.00%26.00%12.00%24.00%13.00%18.00%
- 配息基準日每單位配息金額0.0440.0440.0440.0440.0440.0440.0440.0440.0440.0440.044年化配息率(%)7.547.637.777.937.537.67.717.647.687.78.03配息來自本金比例N/A95.59%90.68%90.65%95.94%95.09%97.01%88.20%89.10%100.00%73.28%
- 配息基準日每單位配息金額0.0380.0380.0380.0380.0380.0380.0380.0380.0380.0380.038年化配息率(%)7.437.377.377.357.347.327.347.257.27.187.18配息來自本金比例0%0%0%0%0%0%0%0%0%0%0%
富達基金-亞洲非投資等級債券基金(A股【F1穩定月配息】美元)
配息基準日每單位配息金額0.02780.02780.02780.02780.02780.02780.02780.02780.02780.03310.0225年化配息率(%)7.347.347.437.427.457.477.597.477.559.076.27配息來自本金比例20.41%33.58%36.22%22.78%26.42%27.47%24.51%26.44%31.77%25.41%19.91%- 配息基準日每單位配息金額0.5530.5530.5530.5530.5530.5530.5530.5530.5530.5530.5336年化配息率(%)7.347.157.057.087.177.197.197.287.137.156.86配息來自本金比例N/AN/A0%0%0%100.00%0%0%100.00%100.00%100.00%
摩根投資基金 - JPM多重收益(美元對沖) - A股(利率入息)
配息基準日每單位配息金額0.050.0530.0540.0540.0540.0530.0520.050.050.050.055年化配息率(%)7.197.597.87.917.847.797.677.367.337.428.16配息來自本金比例N/A0%53.00%4.00%0%0%54.00%0%47.00%60.00%64.00%- 配息基準日每單位配息金額0.0540.0540.0520.0520.0520.0520.0520.0520.0520.0520.052年化配息率(%)7.177.16.937.127.08N/A7.227.47.227.387.49配息來自本金比例N/A0%0%0%0%N/A0%0%0%0%0%
聯博-全球非投資等級債券基金AT股美元(原 聯博-全球高收益債券基金)
配息基準日每單位配息金額0.01890.01890.01890.01890.01890.01890.01890.01890.01890.01890.0189年化配息率(%)7.157.077.137.27.277.277.297.187.227.27.18配息來自本金比例N/AN/A10.00%19.00%31.00%12.00%14.00%0%27.00%6.00%8.00%- 配息基準日每單位配息金額0.550.550.60.60.60.60.60.60.60.60.6年化配息率(%)7.056.787.477.77.77.627.757.577.547.377.37配息來自本金比例N/A47.96%52.22%51.76%53.39%52.62%53.78%53.42%55.60%55.52%55.74%
- 配息基準日每單位配息金額0.340.340.340.340.340.340.340.340.340.340.34年化配息率(%)76.886.957.087.087.057.137.026.996.966.99配息來自本金比例N/A53.26%56.15%57.02%57.54%59.09%56.18%56.84%59.17%61.15%55.60%
- 配息基準日每單位配息金額0.004988070.00525060.005524790.005291430.005186420.005069740.00495890.005139750.005104750.005017240.00500557年化配息率(%)77777777777配息來自本金比例N/A0%0%0%0%0%0%0%0%0%0%
瑞銀 (盧森堡) 亞洲非投資等級債券基金 (美元) (月配息)
配息基準日每單位配息金額0.28790.28620.28250.28330.27960.27790.27290.27760.27420.27030.2637年化配息率(%)6.976.97.026.976.886.916.877.036.9376.84配息來自本金比例N/A0%0%23.49%22.48%11.87%18.49%15.14%50.35%22.40%11.86%- 配息基準日每單位配息金額0.0217090.0278220.0283830.02970630.0261680.02977320.03068260.02618380.02528220.02519630.0212652年化配息率(%)6.878.729.019.428.389.529.838.298.158.216.92配息來自本金比例N/A7.54%N/A18.24%20.90%20.87%21.44%21.27%22.44%25.88%0%
- 配息基準日每單位配息金額0.0250.0250.0250.02450.02450.02450.02450.0240.0240.0240.0235年化配息率(%)6.796.736.776.76.77N/A6.816.686.616.646.48配息來自本金比例N/A19.05%10.68%21.51%6.29%N/A0%0%18.60%11.90%31.80%
富蘭克林坦伯頓全球投資系列-公司債基金美元A (Mdis)股
配息基準日每單位配息金額0.030.0290.030.0290.0290.0290.0370.0280.0280.0290.029年化配息率(%)6.796.536.756.626.676.688.516.446.416.686.71配息來自本金比例N/AN/A23.00%22.00%0%0%19.00%23.00%20.00%23.00%23.00%- 配息基準日每單位配息金額0.0340.0340.0340.03350.03350.03350.03350.0320.0320.0320.0315年化配息率(%)6.786.726.776.736.79N/A6.836.546.486.56.37配息來自本金比例N/A4.53%7.50%26.15%15.47%N/A12.52%19.71%19.29%13.39%24.94%
PIMCO全球非投資等級債券基金-M級類別(月收息強化股份)
配息基準日每單位配息金額0.046250.0420160.0421740.0466960.0395160.0432980.0461920.039870.0381070.038130.037567年化配息率(%)6.776.16.156.885.876.456.915.895.645.625.53配息來自本金比例21.79%24.03%22.97%22.68%22.64%22.84%22.73%22.55%24.42%25.21%24.58%摩根基金-JPM新興市場本地貨幣債券(美元)-A股(每月派息)
配息基準日每單位配息金額0.0340.0360.0360.0360.0350.0350.0350.0350.0350.0350.033年化配息率(%)6.746.976.997.136.997.056.876.776.676.666.2配息來自本金比例N/A0%0%0%24.00%17.00%27.00%15.00%0%0%15.00%- 配息基準日每單位配息金額0.0571850.0593730.0573230.05661010.0558960.05540920.05526840.05725850.05672060.05777360.0583608年化配息率(%)6.76.76.566.56.56.56.56.56.56.56.5配息來自本金比例N/A36.17%N/A42.72%52.16%38.53%100.00%49.32%100.00%100.00%0%
PIMCO多元收益債券基金-M級類別(月收息強化股份) 美元
配息基準日每單位配息金額0.0438480.0410160.0394340.0428690.0377560.0403920.0453970.0367160.0380860.0389230.036513年化配息率(%)6.586.055.866.455.746.196.985.555.815.95.48配息來自本金比例24.54%26.39%26.26%26.25%25.19%25.98%24.56%25.99%25.82%26.20%26.89%- 配息基準日每單位配息金額0.4745930.4802380.4776660.4717880.4690630.4668740.4643120.4726890.4681030.4703940.472068年化配息率(%)6.56.56.56.56.56.56.56.56.56.56.5配息來自本金比例N/A30.00%0%49.00%57.00%43.00%55.00%46.00%46.00%62.00%54.00%
富蘭克林坦伯頓全球投資系列-全球債券基金美元A (Mdis)股
配息基準日每單位配息金額0.0580.0560.0530.0510.050.0550.0540.0470.0460.0460.046年化配息率(%)6.485.995.585.525.586.095.875.014.784.84.7配息來自本金比例N/AN/A25.00%25.00%18.00%25.00%25.00%27.00%25.00%31.00%29.00%- 配息基準日每單位配息金額0.0550.0550.0550.0550.0550.0550.0550.0550.0550.0550.055年化配息率(%)6.246.196.196.376.236.446.616.916.616.616.88配息來自本金比例N/A0%0%0%0%0%70.00%9.00%100.00%100.00%100.00%
- 配息基準日每單位配息金額0.05830.05830.05830.05830.05830.05830.05830.05830.05830.05830.0583年化配息率(%)6.246.226.336.426.316.396.566.646.516.66.77配息來自本金比例N/AN/A94.00%94.00%93.00%91.00%95.00%94.00%90.00%89.00%96.00%
摩根基金 - 環球債券收益基金 - JPM環球債券收益基金(美元) - A股(每月派息)
配息基準日每單位配息金額0.040.040.040.040.040.040.040.040.040.040.04年化配息率(%)6.156.076.16.156.196.26.226.176.196.156.15配息來自本金比例N/A42.00%22.00%11.00%39.00%21.00%19.00%52.00%34.00%20.00%55.00%- 配息基準日每單位配息金額0.0330.0330.0330.0330.0330.0330.0330.0330.0330.0330.033年化配息率(%)6.115.935.986.096.166.236.256.096.136.066.01配息來自本金比例N/AN/A22.00%22.00%30.00%19.00%21.00%16.00%20.00%19.00%12.00%
富蘭克林坦伯頓伊斯蘭系列-伊斯蘭債券基金美元A(Mdis)股
配息基準日每單位配息金額0.0410.0370.0660.0370.030.0290.0310.0280.030.0290.031年化配息率(%)6.075.49.535.414.454.314.624.144.414.254.54配息來自本金比例N/AN/A14.00%28.00%34.00%32.00%34.00%34.00%33.00%33.00%19.00%摩根投資基金-JPM環球非投資等級債券基金(美元)-A股(每月派息)
配息基準日每單位配息金額0.4060.3910.3910.3910.3920.3920.3920.3780.3780.3780.374年化配息率(%)65.775.85.895.975.995.995.785.775.825.77配息來自本金比例N/A0%12.00%0%19.00%9.00%6.00%15.00%9.00%2.00%20.00%- 配息基準日每單位配息金額0.04150.04150.04150.0410.0410.0410.0410.0390.0390.0390.0375年化配息率(%)5.915.825.895.895.93N/A5.995.745.645.675.43配息來自本金比例N/A0%0%23.87%20.77%N/A13.29%1.17%0%1.66%1.77%
- 配息基準日每單位配息金額0.028190.028190.03110.03110.03110.03110.03110.03110.03110.03110.0311年化配息率(%)5.855.866.416.496.536.586.566.66.556.596.51配息來自本金比例N/A14.00%29.00%20.00%21.00%23.00%9.00%28.00%19.00%16.00%20.00%
- 配息基準日每單位配息金額0.72870.74170.73260.72730.71110.70420.68760.73160.70910.68780.6849年化配息率(%)5.775.926.086.235.895.965.776.215.945.926.03配息來自本金比例N/A82.49%78.19%78.67%78.19%75.75%82.09%75.13%77.27%75.31%82.21%
- 配息基準日每單位配息金額0.05437540.04933040.05648310.04630150.03996530.04862930.04626790.04913920.04544190.04708620.0506084年化配息率(%)5.765.216.135.064.575.385.345.525.165.345.69配息來自本金比例N/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/A
- 配息基準日每單位配息金額0.0440.0450.0450.0450.0430.0430.0430.0410.0410.0410.04年化配息率(%)5.595.615.655.775.545.585.565.285.295.385.29配息來自本金比例N/A15.00%20.00%9.00%19.00%13.00%12.00%15.00%18.00%15.00%14.00%
富蘭克林坦伯頓全球投資系列-波灣富裕債券基金美元A (Mdis)股
配息基準日每單位配息金額0.0480.0480.0480.0430.0440.0420.0450.0410.040.0440.045年化配息率(%)5.595.475.394.945.154.955.354.854.665.165.27配息來自本金比例N/AN/A24.00%28.00%25.00%28.00%26.00%27.00%28.00%28.00%28.00%- 配息基準日每單位配息金額0.0440.0430.0450.0460.0440.0450.0430.0460.0410.0430.046年化配息率(%)5.375.135.455.645.495.635.455.665.095.275.62配息來自本金比例0%0%0%0%0%0%0%0%0%0%0%
- 配息基準日每單位配息金額0.04520.04520.04520.04520.04520.04520.04520.04520.04520.06430.0261年化配息率(%)5.325.265.315.365.425.455.465.385.417.653.09配息來自本金比例0%0%0%0%0%0%0%0%0%0%0%
- 配息基準日每單位配息金額0.03980.0390.03640.04290.03780.04120.04560.03730.03840.04550.039年化配息率(%)4.944.724.365.164.625.065.614.654.75.594.78配息來自本金比例N/AN/A0%0%0%100.00%100.00%0%100.00%100.00%0%
- 配息基準日每單位配息金額0.03884920.03158640.03675080.03366290.03048180.03436770.0326590.03483630.03234690.03331470.0343467年化配息率(%)4.593.634.273.973.644.143.984.143.873.924.03配息來自本金比例0%0%0%0%0%100.00%0%100.00%100.00%0%0%
- 配息基準日每單位配息金額0.0468930.0484540.0431120.048160.043020.0439770.0456790.0407280.0413150.0478590.038163年化配息率(%)4.084.213.824.333.813.954.223.823.814.483.68配息來自本金比例N/AN/A89.00%91.00%88.00%85.00%91.00%89.00%84.00%86.00%93.00%
- 配息基準日每單位配息金額0.1170.1160.1150.1220.1070.0850.0820.0850.0720.0730.071年化配息率(%)44.154.084.34.013.082.933.112.692.642.35配息來自本金比例0%0%0%0%0%0%0%0%0%0%0%
- 配息基準日每單位配息金額0.0440.0430.0440.0470.0450.0460.0440.0470.0430.0430.051年化配息率(%)43.833.984.314.194.34.184.344.013.964.68配息來自本金比例0%0%0%0%0%0%0%0%0%0%0%
- 配息基準日每單位配息金額0.0481230.0478670.0467040.0573360.0440310.0440310.0508140.0485840.0447870.0464350.05086年化配息率(%)3.843.713.654.573.54N/A4.153.993.583.754.04配息來自本金比例N/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/A
- 配息基準日每單位配息金額0.03090.03140.03120.03090.03070.03030.03020.04940.03180.03220.0323年化配息率(%)3.73.713.693.73.683.653.646.163.93.984配息來自本金比例N/AN/A0%0%0%0%0%0%0%0%0%
- 配息基準日每單位配息金額0.03430.02920.03010.03440.02860.03260.03250.03080.02970.03360.0304年化配息率(%)3.653.023.133.633.083.543.563.283.183.533.17配息來自本金比例N/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/A
- 配息基準日每單位配息金額0.0250.0250.0250.0250.0240.0240.0240.0240.0240.0240.023年化配息率(%)3.623.563.53.553.483.523.523.513.473.463.31配息來自本金比例N/A0%0%9.00%8.00%18.00%14.00%26.00%22.00%9.00%19.00%
- 配息基準日每單位配息金額0.04090.04090.04090.04090.04090.04090.04090.04090.04090.04090.0409年化配息率(%)2.452.372.422.532.642.632.722.642.712.752.74配息來自本金比例0%0%0%0%0%0%0%54.73%100.00%100.00%88.40%
- 配息基準日每單位配息金額0.3860.3920.3920.3920.40.40.40.3920.3920.3920.404年化配息率(%)2.442.492.582.612.582.652.692.632.642.742.9配息來自本金比例N/A0%0%0%0%0%42.00%0%0%100.00%0%
- 配息基準日每單位配息金額0.450.450.450.450.450.450.450.450.450.450.45年化配息率(%)1.161.151.171.221.221.241.271.231.241.31.33配息來自本金比例N/A100.00%100.00%100.00%100.00%100.00%100.00%100.00%100.00%100.00%100.00%
基金配息率排名