類股基金

名稱 一日 一週 一個月 三個月 六個月 一年 今年以來
( 商品原物料 ) 0.57% -1.43% -5.31% -3.92% -10.95% -0.28% -8.93%
( 黃金類股 ) 1.43% -0.17% -4.07% 2.65% -6.07% -10.65% -9.73%
( 能源類股 ) 0.36% -1.70% -6.52% -5.54% -7.80% 1.84% -5.41%
( 綠能(新能源) ) 0.68% -1.60% -0.11% -5.42% -6.28% -1.67% -6.25%
( 水資源 ) 0.46% -1.37% -0.35% -4.25% -2.85% -0.78% -5.44%
( 農金 ) 0.56% -2.26% -1.14% -0.84% -0.36% 0.87% -3.76%
( 金融類股 ) 0.34% -1.04% 0.15% -4.18% -4.03% 2.99% -0.73%
( 銀行類股 ) -0.48% -2.88% -2.63% -7.07% -9.45% -6.82% -10.31%
( 保險類股 ) -0.48% -2.88% -2.63% -7.07% -9.45% -6.82% -10.31%
( 生物科技與醫藥 ) 1.22% -2.77% -3.52% -5.55% 0.73% 5.33% 3.45%
( 消費 ) 0.17% -2.36% 0.20% -4.14% -0.57% 1.10% -1.03%
( 必需消費 ) -0.33% -2.50% -2.89% -8.26% -12.57% -7.63% -7.98%
( 精品消費 ) -0.10% -2.31% -1.96% -8.50% -9.61% 1.64% -1.57%
( 人口類股 ) 0.90% -0.97% -1.15% -3.94% -1.06% 2.84% 0.81%
( 環保議題 ) 0.55% -1.08% -1.01% -0.85% 2.64% 8.70% 0.41%
( 社會道德 ) N/A% N/A% N/A% N/A% N/A% N/A% N/A%
( 科技 ) 0.16% -1.57% -3.57% -8.09% -5.68% 2.89% 3.68%
( 通訊 ) -0.13% -0.82% -0.20% -7.21% -9.09% -8.19% -8.56%
( 公用事業 ) 0.78% 0.94% 1.81% -1.78% -3.79% -1.80% -2.31%


* 基金報酬率包含配息
(若未註明"*",則基金報酬率不包含配息,對於有配息之基金,將造成總報酬率數值低估。)

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