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安聯特別收益多重資產基金-B類型/月配息
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年度報酬率 |
2020 | 2021 | 2022 | 2023 | 2024 | |
淨值 | - | -3.29% | -13.03% | 1.96% | 9.94% |
含息 | - | 1.65% | -8.00% | 5.84% | 12.93% |
近期配息記錄 |
2023年 | 配息 | 前日淨值 | 殖利率 |
01/30 | 0.0342 | - | - |
02/23 | 0.0342 | 9.04 | 0.38% |
03/30 | 0.0342 | 8.53 | 0.40% |
04/27 | 0.03 | 8.72 | 0.34% |
05/30 | 0.03 | 8.56 | 0.35% |
06/29 | 0.03 | 8.70 | 0.34% |
07/28 | 0.026 | 8.78 | 0.30% |
08/30 | 0.026 | 8.92 | 0.29% |
09/27 | 0.026 | 8.89 | 0.29% |
10/30 | 0.022 | 8.51 | 0.26% |
11/29 | 0.022 | 8.77 | 0.25% |
12/28 | 0.022 | 8.96 | 0.25% |
2023總計 | 0.3366 | 8.96 | 3.76% |
2024年 | 配息 | 前日淨值 | 殖利率 |
01/30 | 0.022 | 9.27 | 0.24% |
02/27 | 0.022 | 9.29 | 0.24% |
03/27 | 0.022 | 9.40 | 0.23% |
04/29 | 0.022 | 9.38 | 0.23% |
05/30 | 0.022 | 9.39 | 0.23% |
06/27 | 0.022 | 9.59 | 0.23% |
07/30 | 0.022 | 9.74 | 0.23% |
08/29 | 0.022 | 9.66 | 0.23% |
09/27 | 0.022 | 9.84 | 0.22% |
10/30 | 0.022 | 9.7700 | 0.23% |
11/27 | 0.022 | 9.8000 | 0.22% |
12/30 | 0.022 | 9.6800 | 0.23% |
2024總計 | 0.264 | 9.6800 | 2.73% |
2025年 | 配息 | 前日淨值 | 殖利率 |
01/23 | 0.022 | 9.8300 | 0.22% |
02/26 | 0.022 | 9.8900 | 0.22% |
2025總計 | 0.044 | 9.8900 | 0.44% |
安聯特別收益多重資產基金-B類型/月配息 基金資料 |
日期 | 淨值 | 漲跌比例 |
2025/03/31 | 9.8100 | 0.10% |
2025/03/28 | 9.8000 | -0.61% |
2025/03/27 | 9.8600 | -0.10% |
2025/03/26 | 9.8700 | -0.40% |
2025/03/25 | 9.9100 | 0.20% |
2025/03/24 | 9.8900 | 0.00% |
2025/03/21 | 9.8900 | 0.00% |
2025/03/20 | 9.8900 | -0.10% |
2025/03/19 | 9.9000 | 0.30% |
2025/03/18 | 9.8700 | -0.10% |
名稱 | 三個月 | 六個月 | 一年 | 今年 |
安聯特別收益多重資產基金-B類型/月配息/台幣 | 0.82% | 1.13% | 4.70% | 0.82% |
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