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中國信託亞太實質收息多重資產基金-分配型
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年度報酬率 |
2020 | 2021 | 2022 | 2023 | 2024 | |
淨值 | - | - | -15.81% | -4.16% | -11.27% |
含息 | - | - | -11.30% | 0.56% | -6.57% |
近期配息記錄 |
2023年 | 配息 | 前日淨值 | 殖利率 |
01/16 | 0.0379 | 9.1000 | 0.42% |
02/14 | 0.0378 | 9.0600 | 0.42% |
03/14 | 0.0359 | 8.6200 | 0.42% |
04/21 | 0.0368 | 8.8200 | 0.42% |
05/15 | 0.0365 | 8.7600 | 0.42% |
06/15 | 0.035 | 8.4000 | 0.42% |
07/14 | 0.0359 | 8.6200 | 0.42% |
08/15 | 0.0337 | 8.0800 | 0.42% |
09/14 | 0.0328 | 7.8600 | 0.42% |
10/17 | 0.0315 | 7.5600 | 0.42% |
11/14 | 0.0316 | 7.5900 | 0.42% |
12/14 | 0.0341 | 8.1900 | 0.42% |
2023總計 | 0.4195 | 8.1900 | 5.12% |
2024年 | 配息 | 前日淨值 | 殖利率 |
01/15 | 0.035 | 8.4000 | 0.42% |
02/23 | 0.0344 | 8.2500 | 0.42% |
03/14 | 0.0343 | 8.2300 | 0.42% |
04/17 | 0.0323 | 7.7400 | 0.42% |
05/15 | 0.033 | 7.9100 | 0.42% |
06/17 | 0.0324 | 7.7700 | 0.42% |
07/12 | 0.0331 | 7.9400 | 0.42% |
08/14 | 0.0329 | 7.8900 | 0.42% |
09/13 | 0.0341 | 8.1800 | 0.42% |
10/17 | 0.0338 | 8.1100 | 0.42% |
11/14 | 0.0325 | 7.8000 | 0.42% |
12/13 | 0.0322 | 7.7200 | 0.42% |
2024總計 | 0.4 | 7.7200 | 5.18% |
2025年 | 配息 | 前日淨值 | 殖利率 |
01/15 | 0.0311 | 7.4700 | 0.42% |
02/14 | 0.0323 | 7.7500 | 0.42% |
03/14 | 0.0316 | 7.5900 | 0.42% |
04/17 | 0.0296 | 7.1100 | 0.42% |
05/16 | 0.0315 | 7.5500 | 0.42% |
06/16 | 0.0323 | 7.7600 | 0.42% |
07/14 | 0.0337 | 8.0900 | 0.42% |
08/14 | 0.036 | 8.6400 | 0.42% |
09/16 | 0.0361 | 8.6600 | 0.42% |
2025總計 | 0.2942 | 8.6600 | 3.40% |
中國信託亞太實質收息多重資產基金-分配型 基金資料 基金月報 |
日期 | 淨值 | 漲跌比例 |
2025/10/08 | 8.4500 | 0.60% |
2025/10/07 | 8.4000 | 0.36% |
2025/10/03 | 8.3700 | 0.24% |
2025/10/02 | 8.3500 | -0.83% |
2025/10/01 | 8.4200 | 0.36% |
2025/09/30 | 8.3900 | 0.60% |
2025/09/26 | 8.3400 | -0.48% |
2025/09/25 | 8.3800 | 0.00% |
2025/09/24 | 8.3800 | 0.36% |
2025/09/23 | 8.3500 | 0.36% |
名稱 | 三個月 | 六個月 | 一年 | 今年 |
中國信託亞太實質收息多重資產基金-分配型/美元 | 5.76% | 24.63% | 4.71% | 11.77% |
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