• 富邦歐亞絲路多重資產型基金-A類型(新台幣)(本金基金金有相當比重投資於非投資等級之高風險債券)

  • 申購
  • Fubon Euro-Asia Silk Road Mlt-Asst TWD A
  • 基準指數:
10.3896-0.01
-0.06%
理柏總回報晨星評級風險評級 
--RR4
10.3896-0.01
-0.06%
理柏總回報晨星評級風險評級 
--RR4
日期 淨值
10.3896
10.3961
10.3552
10.3556
10.2947
10.4349
10.4583
10.5187
10.3459
10.3555
10.5684
10.7340
10.6932
10.7344
10.7318
10.6033
10.4495
10.5643
10.4980
10.6955
10.5441
10.2000
10.2444
10.1520
10.0972
10.1197
9.9916
10.1805
10.0878
9.8322
9.7738
9.7080
9.7108
9.9527
10.0222
10.3086
10.4840
10.4856
10.3496
10.4851
10.5218
10.5190
10.7627
10.7274
10.8211
10.8363
10.7387
10.7736
10.5113
10.4130
10.4034
10.1265
10.0730
10.0368
10.0712
10.0584
9.6790
10.2333
10.7573
10.9631
10.5672
10.6417
10.5908
11.1729
11.1848
11.1296
11.1959
11.4449
11.9418
11.8989
11.9926
12.0650
12.0719
11.9224
11.7128
11.7265
11.6806
11.6910
11.5676
11.5328
11.5051
日期 淨值
11.4590
11.5527
11.4047
11.3908
11.5348
11.6219
11.6139
11.6764
11.5320
11.4603
11.4465
11.4317
11.3196
11.2150
11.3004
11.2439
11.1849
11.1791
10.9490
11.0135
10.9727
11.0722
11.0797
11.0584
11.1082
11.0909
11.1249
11.1520
11.0948
11.1094
11.0625
10.9546
10.9709
10.9150
10.8769
10.9040
10.9915
10.8747
10.8502
10.7474
10.7030
10.8214
10.7596
10.4681
10.5873
10.2831
10.1398
10.1960
10.5100
10.5902
10.6119
10.7751
10.7764
10.8345
10.7254
10.8613
10.8071
10.8541
10.9670
10.9386
10.8721
10.8530
10.8473
10.7815
10.8884
10.9149
10.6961
10.6689
10.7073
10.5706
10.5813
10.6482
10.6502
10.6624
10.7952
10.7981
10.7433
10.6269
10.6962
10.5799
10.3810
日期 淨值
10.4234
10.4148
10.3264
10.2898
10.0228
10.0535
10.1370
10.1077
10.1219
9.7621
9.7132
9.5230
9.4707
9.4951
9.4162
9.4767
9.5303
9.6030
9.6957
9.6528
9.5081
9.4522
9.4409
9.3705
9.1173
9.1960
9.2242
9.2450
9.2594
9.2108
9.2385
9.1996
9.1615
9.1909
9.2690
9.4513
9.6330
9.6134
9.6398
9.6089
9.6691
9.6248
9.7378
9.6773
9.7291
9.7028
9.5741
9.4493
9.4125
9.2947
9.2232
9.1762
9.1517
9.2046
9.3582
9.2430
9.2833
9.2893
9.2975
9.2837
9.3271
9.2943
9.3127
9.4701
9.4613
9.3855
9.4926
9.3679
9.2022
9.1606
9.0996
9.0492
9.0533
9.0181
8.9460
8.7511
8.5196
8.4182
8.4709
8.4847
基金淨值 晨星評級 1日 1年
  指數 漲跌 % 時間
台灣加權22820.43-106.16-0.460
香港恆生20317.33-63.31-0.310
日經指數39081.25-196.14-0.500
道瓊指數41763.46-378.08-0.900
NASDAQ18095.15-512.78-2.760
歐元區指數4314.29-53.39-1.220
  匯價 升貶 % 時間
美元/台幣30.30800.00000.00%
歐元/美元1.10100.00610.56%
美元/人民幣7.17280.00740.10%
美元/日元141.7500-0.7700-0.54%
澳元/美元0.65690.00190.29%
美元/南非幣18.4537-0.2540-1.36%
美元/港幣7.81100.00440.06%
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