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美盛西方資產新興市場總回報債券基金-A股/增益配息(M)
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年度報酬率 |
2017 | 2018 | 2019 | 2020 | 2021 | |
淨值 | 3.62% | -11.55% | 3.90% | 1.57% | -7.82% |
含息 | 8.86% | -6.37% | 10.16% | 7.13% | -3.22% |
近期配息記錄 |
2020年 | 配息 | 前日淨值 | 殖利率 |
01/21 | 0.482629482 | 79.05 | 0.61% |
02/18 | 0.362310757 | 79.27 | 0.46% |
03/16 | 0.301513944 | 72.97 | 0.41% |
04/20 | 0.39250996 | 71.87 | 0.55% |
05/18 | 0.321752988 | 72.96 | 0.44% |
06/15 | 0.332481119 | 76.19 | 0.44% |
07/20 | 0.422114633 | 77.0500 | 0.55% |
08/17 | 0.329000471 | 78.6200 | 0.42% |
09/21 | 0.406575448 | 78.1300 | 0.52% |
10/19 | 0.32580111 | 77.7500 | 0.42% |
11/16 | 0.299232949 | 78.3700 | 0.38% |
12/21 | 0.379297336 | 79.8100 | 0.48% |
2020總計 | 4.355220197 | 79.8100 | 5.46% |
2021年 | 配息 | 前日淨值 | 殖利率 |
01/19 | 0.312678544 | 79.0400 | 0.40% |
02/16 | 0.302161735 | 79.1500 | 0.38% |
03/22 | 0.359063104 | 77.4600 | 0.46% |
04/19 | 0.2962217 | 77.4300 | 0.38% |
05/17 | 0.295474191 | 77.3000 | 0.38% |
06/21 | 0.370585728 | 77.6500 | 0.48% |
07/19 | 0.294802964 | 77.3000 | 0.38% |
08/16 | 0.264823218 | 76.9900 | 0.34% |
09/20 | 0.329962513 | 77.1800 | 0.43% |
10/18 | 0.259323389 | 75.2800 | 0.34% |
11/15 | 0.257557738 | 74.6700 | 0.34% |
12/20 | 0.315187803 | 73.4900 | 0.43% |
2021總計 | 3.657842627 | 73.4900 | 4.98% |
2022年 | 配息 | 前日淨值 | 殖利率 |
01/18 | 0.253324989 | 71.6300 | 0.35% |
02/14 | 0.233471835 | 70.6500 | 0.33% |
03/01 | 0.116703608 | 67.7200 | 0.17% |
04/01 | 0.257489818 | 67.6300 | 0.38% |
05/02 | 0.251563348 | 66.0700 | 0.38% |
06/01 | 0.240239587 | 65.2000 | 0.37% |
07/01 | 0.229943201 | 62.4100 | 0.37% |
08/01 | 0.239554277 | 62.9200 | 0.38% |
09/01 | 0.239645469 | 62.9400 | 0.38% |
10/03 | 0.236022588 | 60.0700 | 0.39% |
2022總計 | 2.29795872 | 60.0700 | 3.83% |
美盛西方資產新興市場總回報債券基金-A股/增益配息(M) |
基金投資目標為追求包含資本增值及利息收益之最大總報酬,投資於新興市場國家發行,且在債權風險下,殖利率及資本增值潛力仍具相當吸引力的債券。至少55%基金總資產價值投資於以美元計價的債券;且至少60%基金總資產價值投資於政府相關證券。 |
日期 | 淨值 | 漲跌比例 |
2022/10/10 | 59.6700 | 0.02% |
2022/10/07 | 59.6600 | -0.05% |
2022/10/06 | 59.6900 | -0.15% |
2022/10/05 | 59.7800 | 0.00% |
2022/10/04 | 59.7800 | -0.03% |
2022/10/03 | 59.8000 | -0.45% |
2022/09/30 | 60.0700 | -0.05% |
2022/09/29 | 60.1000 | -0.18% |
2022/09/28 | 60.2100 | -0.76% |
2022/09/27 | 60.6700 | -0.52% |
名稱 | 三個月 | 六個月 | 一年 | 今年 |
美盛西方資產新興市場總回報債券基金-A股/增益配息(M)/美元 | -3.99% | -11.77% | -20.76% | -18.62% |
JP新興市場政府債券指數指數 | -4.04% | -12.11% | -21.90% | -22.59% |
聯博新興市場債券基金-A2/歐元 | -1.64% | -6.98% | -12.96% | -13.39% |
聯博新興市場債券基金-A2/美元 | -4.86% | -16.66% | -26.78% | -26.17% |
聯博新興市場債券基金-AT/美元 | -6.36% | -19.29% | -30.89% | -29.43% |
聯博新興市場債券基金-B2/歐元 | -0.15% | 1.39% | 3.60% | 3.03% |
聯博新興市場債券基金-BT/美元 | -6.37% | -19.10% | -30.71% | -29.30% |
聯博新興市場債券基金-AT/紐幣避險 | -7.12% | -20.32% | -31.74% | -30.36% |
聯博新興市場債券基金-AT/澳幣避險 | -7.03% | -20.17% | -31.75% | -30.23% |
聯博新興市場債券基金-A2/歐元避險 | -5.63% | -17.94% | -28.45% | -27.64% |
聯博新興市場債券基金-AT/歐元避險 | -6.57% | -19.75% | -31.52% | -30.06% |
法巴新興市場精選債券基金-H股/歐元 | -0.84% | -13.37% | -29.37% | -27.63% |
法巴新興市場精選債券基金-H股/年配/歐元 | -0.86% | -18.96% | -33.90% | -32.24% |
法巴新興市場精選債券基金-C股/美元 | -0.17% | -12.01% | -27.60% | -26.03% |
法巴新興市場精選債券基金-月配/美元 | -4.01% | -18.49% | -36.87% | -34.23% |
法巴新興市場債券基金-H股/月配/澳幣 | -6.93% | -23.33% | -40.82% | -38.93% |
法巴新興市場債券基金-C股/美元 | -2.29% | -15.76% | -30.73% | -29.96% |
法巴新興市場債券基金-月配/美元 | -6.28% | -22.23% | -39.86% | -37.99% |
歐義銳榮新興市場債券基金-R/歐元 | -1.07% | -2.92% | -8.18% | -9.84% |
歐義銳榮新興市場債券基金-R2/美元 | -4.74% | -13.49% | -22.94% | -23.01% |
富達新興市場債券基金/歐元 | -5.89% | -16.78% | -25.19% | -24.71% |
富達新興市場債券基金/美元 | -9.98% | -26.14% | -37.55% | -36.25% |
富達新興市場債券基金-月配/歐元 | -2.12% | -14.36% | -24.54% | -23.53% |
富達新興市場債券基金-月配/美元 | -5.77% | -23.53% | -36.66% | -34.89% |
富蘭克林坦伯頓新興國家固定收益基金-A/季配/美元 | -4.99% | -26.45% | -32.41% | -30.64% |
富蘭克林坦伯頓新興國家固定收益基金-B/季配/美元 | -5.49% | -27.05% | -33.47% | -31.55% |
富蘭克林坦伯頓新興國家固定收益基金-A/月配/美元 | -5.04% | -26.19% | -32.20% | -29.39% |
富蘭克林坦伯頓新興國家固定收益基金-B/月配/美元 | -5.25% | -26.64% | -32.99% | -30.11% |
富蘭克林坦伯頓新興國家固定收益基金-A/累積/美元 | -2.84% | -22.78% | -26.18% | -24.30% |
復華新興市場短期收益基金/台幣 | 0.53% | -0.70% | -4.32% | -3.50% |
匯豐環球新興市場債券基金PD/美元 | -4.22% | -18.45% | -30.16% | -29.97% |
NN(L)新興市場債券基金-X股/累積/美元 | -4.78% | -16.00% | -26.99% | -26.42% |
NN(L)新興市場債券基金-X股/年配/美元 | -4.78% | -16.00% | -29.08% | -26.42% |
NN(L)新興市場債券基金-X股/月配/美元 | -8.41% | -21.99% | -36.02% | -34.33% |
NN(L)新興市場債券基金-X股/歐元對沖 | -5.54% | -17.16% | -28.56% | -27.82% |
NN(L)新興市場債券基金-X股/月配/澳幣對沖 | -8.75% | -22.61% | -36.79% | -35.07% |
NN(L)新興市場債券基金-Y股/月配/澳幣對沖 | -9.06% | -23.12% | -37.59% | -35.70% |
NN(L)新興市場債券基金-Y股/累積/美元 | -5.02% | -16.42% | -27.72% | -26.99% |
NN(L)新興市場債券基金-Y/月配/美元 | -8.66% | -22.42% | -36.69% | -34.88% |
NN(L)新興市場債券基金-Y股/歐元對沖 | -5.78% | -17.58% | -29.29% | -28.38% |
NN(L)新興市場債券基金-X股/月配/南非幣對沖 | -11.23% | -26.32% | -41.23% | -39.30% |
NN(L)新興市場債券基金-Y股/月配/南非幣對沖 | -11.58% | -26.86% | -42.02% | -39.97% |
景順新興市場債券基金-A/半年配息股/美元 | -6.82% | -18.19% | -32.27% | -31.90% |
晉達新興市場公司債券基金-C股/累積/美元 | -1.94% | -12.90% | -24.11% | -22.83% |
美盛西方資產新興市場總回報債券基金-A股/累積/美元 | -2.92% | -9.77% | -17.04% | -15.74% |
美盛西方資產新興市場總回報債券基金-A股/配息(M)/美元 | -3.66% | -11.06% | -19.20% | -17.40% |
美盛西方資產新興市場總回報債券基金-A(G)股/累積/美元 | -2.82% | -9.62% | -16.74% | -15.51% |
MFS全盛新興市場債券基金A1/歐元 | -0.13% | -3.93% | -8.71% | -9.50% |
MFS全盛新興市場債券基金A1/美元 | -3.31% | -13.82% | -23.10% | -22.83% |
MFS全盛新興市場債券基金A2/美元 | -4.40% | -15.72% | -26.12% | -25.22% |
MFS全盛新興市場債券基金C1/美元 | -3.53% | -14.24% | -23.84% | -23.41% |
MFS全盛新興市場債券基金C2/美元 | -4.41% | -15.74% | -26.15% | -25.25% |
摩根士丹利新興市場債券基金A/美元 | -5.57% | -17.86% | -27.75% | -27.63% |
鋒裕匯理-新興市場債券基金-A2/美元 | -3.24% | -13.22% | -22.62% | -21.79% |
鋒裕匯理-新興市場債券基金-A2/歐元 | 0.24% | -2.68% | -7.85% | -8.30% |
鋒裕匯理-新興市場債券基金-AXD/美元 | -5.31% | -16.87% | -28.09% | -26.49% |
鋒裕匯理-新興市場債券基金-B2/美元 | -3.27% | -13.69% | -22.85% | -21.85% |
鋒裕匯理-新興市場債券基金-B2/歐元 | 0.23% | -3.24% | -8.19% | -8.44% |
鋒裕匯理-新興市場債券基金-BXD/美元 | -5.33% | -17.32% | -28.34% | -26.59% |
施羅德新興市場債券基金-A1/累積/美元 | -0.29% | -9.34% | -16.48% | -15.13% |
施羅德新興市場債券基金-A1/累積/歐元避險 | -1.03% | -10.57% | -18.12% | -16.60% |
天利新興市場債券基金/美元 | -4.44% | -13.63% | -23.86% | -23.61% |
天利新興市場債券基金-美元配息 | -5.65% | -15.78% | -27.54% | -26.41% |
天利新興市場債券基金/歐元 | -0.76% | -3.07% | -9.25% | -10.53% |
天利新興市場債券基金-歐元避險 | -5.31% | -14.92% | -25.51% | -25.07% |
天利新興市場債券基金-上銀金鑽/美元 | -4.48% | -13.70% | -23.98% | -23.70% |
天利新興市場債券基金-上銀金鑽/歐元 | -0.79% | -3.14% | -9.39% | -10.63% |
天利新興市場債券基金-上銀金鑽/美元配息 | -5.70% | -15.87% | -27.67% | -26.53% |
天利新興市場債券基金-歐元避險配息 | -6.50% | -17.02% | -29.11% | -27.84% |
瑞銀(盧森堡)新興市場債券基金/美元 | -4.64% | -14.93% | -26.39% | -25.82% |
瑞銀(盧森堡)新興市場債券基金-月配/美元 | -5.92% | -17.22% | -30.28% | -28.80% |
新加坡大華新興市場債券基金/星幣 | -5.84% | -16.99% | -27.60% | -26.67% |
新加坡大華新興市場債券基金/美元 | -8.32% | -21.19% | -31.77% | -31.21% |
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