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貝萊德世界金融基金A2/歐元 
| 幣別 | 淨值 | 漲跌 | 漲跌比例 | 今年以來 | 日期 |  
| 歐元 | 60.76 | 0.30 | 0.50% | 17.21% | 2025/10/30 |  |  | 
 
 
| 2015 | 2016 | 2017 | 2018 | 2019 | 2020 | 2021 | 2022 | 2023 | 2024 |  
| 2.96% | 9.86% | 16.27% | -11.41% | 35.04% | -0.78% | 25.58% | -14.48% | 23.45% | 39.69% |  
 
| 貝萊德世界金融基金A2/歐元
  基金資料
  中文月報 |  | 
●以盡量提高總回報為目標。基金在全球將總資產至少70%投資於主要從事金融服務的公司之股權證券。 |  
 
 
 
基金績效 (可點按欄位名稱排序)
| 日期 | 淨值 | 漲跌比例 | 日期 | 淨值 | 漲跌比例 |  
| 2025/10/30 | 60.76 | 0.50% | 2025/10/16 | 58.98 | -1.62% |  
| 2025/10/29 | 60.46 | -0.03% | 2025/10/15 | 59.95 | 1.56% |  
| 2025/10/28 | 60.48 | -0.35% | 2025/10/14 | 59.03 | -0.39% |  
| 2025/10/27 | 60.69 | 1.05% | 2025/10/13 | 59.26 | -1.79% |  
| 2025/10/24 | 60.06 | 1.18% | 2025/10/10 | 60.34 | -0.02% |  
| 2025/10/23 | 59.36 | -0.05% | 2025/10/09 | 60.35 | 0.27% |  
| 2025/10/22 | 59.39 | 0.34% | 2025/10/08 | 60.19 | -0.68% |  
| 2025/10/21 | 59.19 | 0.82% | 2025/10/07 | 60.60 | 0.80% |  
| 2025/10/20 | 58.71 | 1.42% | 2025/10/06 | 60.12 | 0.37% |  
| 2025/10/17 | 57.89 | -1.85% | 2025/10/03 | 59.90 | 0.93% |  
 
| 名稱 | 一日 | 一週 | 一個月 | 三個月 | 六個月 | 一年 | 今年以來 |  
| 貝萊德世界金融基金A2/歐元 | 0.50% | 2.36% | 0.55% | 1.03% | 29.08% | 28.43% | 17.21% |  
| NYSE金融指數 | 0.24% | -0.27% | -2.39% | 0.46% | 9.45% | 13.44% | 12.10% |  
| NSDQ金融指數 | -1.26% | -0.61% | -3.94% | -2.66% | 17.29% | 15.47% | 13.09% |  
| 貝萊德世界金融基金A2/美元 | -0.17% | 2.06% | -0.79% | 1.97% | 31.41% | 37.02% | 30.73% |  
| 歐義銳榮環球智慧股票基金-R2/美元 | -0.05% | 1.76% | 2.86% | 6.66% | 17.69% | 17.25% | 19.23% |  
| 歐義銳榮環球智慧股票基金-R/歐元 | -0.10% | 1.32% | 3.44% | 5.36% | 14.87% | 8.55% | 5.84% |  
| 富達全球金融服務基金/歐元 | 0.83% | 1.26% | 0.36% | -0.66% | 7.95% | 11.30% | 5.04% |  
| 木星金融機會基金/美元 | -0.13% | 1.24% | 7.87% | 2.63% | 9.65% | 9.20% | 9.64% |  
| 木星金融機會基金/英鎊 | 1.54% | 1.80% | 2.84% | 25.71% | 12.41% | 22.59% | 14.48% |  
| 新加坡大華全球金融基金/星幣 | 0.61% | 0.94% | 4.76% | 23.96% | 7.46% | 22.70% | 8.26% |  
| 新加坡大華全球金融基金/美元 | 0.18% | 0.32% | 5.47% | 30.77% | 14.92% | 29.22% | 14.87% |  
| 基金平均績效 | 0.36% | 1.45% | 3.04% | 10.83% | 16.16% | 20.70% | 13.92% |  
 
* 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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