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凱基新興亞洲永續優選債券基金B配息
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年度報酬率 |
2018 | 2019 | 2020 | 2021 | 2022 | |
淨值 | - | - | - | - | - |
含息 | - | - | - | - | - |
近期配息記錄 |
2021年 | 配息 | 前日淨值 | 殖利率 |
01/18 | 0.036 | - | - |
02/18 | 0.036 | - | - |
03/16 | 0.036 | - | - |
04/16 | 0.036 | - | - |
05/18 | 0.036 | - | - |
06/16 | 0.036 | - | - |
07/16 | 0.036 | - | - |
08/17 | 0.038 | - | - |
09/16 | 0.038 | - | - |
10/18 | 0.038 | - | - |
11/16 | 0.038 | - | - |
12/16 | 0.038 | - | - |
2021總計 | 0.442 | - | - |
2022年 | 配息 | 前日淨值 | 殖利率 |
01/18 | 0.038 | 8.4375 | 0.45% |
02/16 | 0.038 | 8.2852 | 0.46% |
03/16 | 0.038 | 7.3776 | 0.52% |
04/20 | 0.038 | 7.6804 | 0.49% |
05/18 | 0.038 | 7.3892 | 0.51% |
06/16 | 0.038 | 7.1814 | 0.53% |
07/18 | 0.038 | 6.7733 | 0.56% |
08/16 | 0.038 | 6.8956 | 0.55% |
09/16 | 0.038 | 6.9258 | 0.55% |
10/18 | 0.038 | 6.2605 | 0.61% |
11/16 | 0.038 | 6.3898 | 0.59% |
12/16 | 0.038 | 6.8527 | 0.55% |
2022總計 | 0.456 | 6.8527 | 6.65% |
2023年 | 配息 | 前日淨值 | 殖利率 |
01/17 | 0.038 | 7.0704 | 0.54% |
02/16 | 0.038 | 6.9627 | 0.55% |
03/16 | 0.038 | 6.7787 | 0.56% |
04/18 | 0.038 | 6.7813 | 0.56% |
05/16 | 0.038 | 6.6480 | 0.57% |
06/16 | 0.038 | 6.6868 | 0.57% |
07/18 | 0.038 | 6.5681 | 0.58% |
08/16 | 0.038 | 6.3745 | 0.60% |
09/18 | 0.038 | 6.3006 | 0.60% |
10/17 | 0.038 | 6.1017 | 0.62% |
11/16 | 0.038 | 6.1260 | 0.62% |
12/18 | 0.038 | 6.1231 | 0.62% |
2023總計 | 0.456 | 6.1231 | 7.45% |
凱基新興亞洲永續優選債券基金B配息 |
日期 | 淨值 | 漲跌比例 |
2023/12/26 | 6.0509 | -0.26% |
2023/12/25 | 6.0665 | -0.17% |
2023/12/22 | 6.0768 | -0.23% |
2023/12/21 | 6.0906 | -0.08% |
2023/12/20 | 6.0953 | -0.13% |
2023/12/19 | 6.1031 | 0.28% |
2023/12/18 | 6.0858 | -0.61% |
2023/12/15 | 6.1231 | -0.09% |
2023/12/14 | 6.1287 | -0.11% |
2023/12/13 | 6.1353 | 0.30% |
名稱 | 三個月 | 六個月 | 一年 | 今年 |
凱基新興亞洲永續優選債券基金B配息/台幣 | -2.83% | -8.45% | -10.93% | -11.15% |
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