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聯博日本策略價值基金-AD股/月配/美元避險
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年度報酬率 |
2019 | 2020 | 2021 | 2022 | 2023 | |
淨值 | 7.35% | -8.16% | 9.68% | -1.83% | 18.84% |
含息 | 13.00% | -4.46% | 12.89% | 2.64% | 26.87% |
近期配息記錄 |
2022年 | 配息 | 前日淨值 | 殖利率 |
01/31 | 0.0361 | 14.97 | 0.24% |
02/28 | 0.0361 | 15.27 | 0.24% |
03/31 | 0.0361 | 15.77 | 0.23% |
04/29 | 0.0427 | 15.37 | 0.28% |
05/31 | 0.0427 | 15.26 | 0.28% |
06/30 | 0.0531 | 15.30 | 0.35% |
07/29 | 0.0606 | 15.36 | 0.39% |
08/31 | 0.0606 | 15.60 | 0.39% |
09/30 | 0.0691 | 14.95 | 0.46% |
10/31 | 0.0746 | 15.03 | 0.50% |
11/30 | 0.0864 | 15.70 | 0.55% |
12/30 | 0.0864 | 15.12 | 0.57% |
2022總計 | 0.6845 | 15.12 | 4.53% |
2023年 | 配息 | 前日淨值 | 殖利率 |
01/31 | 0.0864 | 15.65 | 0.55% |
02/28 | 0.0864 | 15.66 | 0.55% |
03/31 | 0.0864 | 15.59 | 0.55% |
04/28 | 0.095 | 15.93 | 0.60% |
05/31 | 0.095 | 16.67 | 0.57% |
06/30 | 0.095 | 17.64 | 0.54% |
07/31 | 0.1102 | 17.66 | 0.62% |
08/31 | 0.1102 | 17.95 | 0.61% |
09/29 | 0.1102 | 18.37 | 0.60% |
10/31 | 0.1102 | 17.25 | 0.64% |
11/30 | 0.1102 | 18.01 | 0.61% |
12/29 | 0.1102 | 17.90 | 0.62% |
2023總計 | 1.2054 | 17.90 | 6.73% |
2024年 | 配息 | 前日淨值 | 殖利率 |
01/31 | 0.1102 | 18.91 | 0.58% |
02/29 | 0.1102 | 20.06 | 0.55% |
03/28 | 0.1102 | 21.14 | 0.52% |
04/30 | 0.1102 | 20.58 | 0.54% |
05/31 | 0.1102 | 20.27 | 0.54% |
06/28 | 0.1102 | 20.71 | 0.53% |
07/31 | 0.1293 | 20.31 | 0.64% |
08/30 | 0.1293 | 19.73 | 0.66% |
09/30 | 0.1293 | 20.35 | 0.64% |
10/31 | 0.116 | 19.96 | 0.58% |
2024總計 | 1.1651 | 19.96 | 5.84% |
聯博日本策略價值基金-AD股/月配/美元避險 基金資料 中文月報 配息資訊 |
本基金投資於基金經理團隊認為股票評價被低估的日本股票之投資組合,以尋求長期資本增值。基金經理公司採基本面的價值型研究方式,致力發掘目前股價相對未來獲利潛力具投資吸引力的證券。 |
日期 | 淨值 | 漲跌比例 |
2024/11/18 | 19.93 | 0.00% |
2024/11/15 | 19.93 | 0.20% |
2024/11/14 | 19.89 | -0.55% |
2024/11/13 | 20.00 | -0.50% |
2024/11/12 | 20.10 | 0.15% |
2024/11/11 | 20.07 | 0.05% |
2024/11/08 | 20.06 | -0.59% |
2024/11/07 | 20.18 | 1.20% |
2024/11/06 | 19.94 | 2.31% |
2024/11/05 | 19.49 | 0.10% |
名稱 | 三個月 | 六個月 | 一年 | 今年 |
聯博日本策略價值基金-AD股/月配/美元避險 | 2.10% | -2.64% | 10.23% | 11.65% |
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