• GAM
  • GAM Star中華股票基金累積單位-美元

  • GAM Star China Equity Ord USD Acc
  • 基準指數:
  • Morningstar China Target Market Exposure NR USD
18.39570.21
1.18%
理柏總回報晨星評級風險評級 
5RR5
18.39570.21
1.18%
理柏總回報晨星評級風險評級 
5RR5
日期 淨值
18.3957
18.1809
18.1392
17.9183
17.7295
17.5324
17.7053
17.7777
17.4388
17.0240
17.1645
17.1906
16.7785
16.8843
16.5546
16.2327
15.9643
16.1158
16.0412
15.9767
16.2925
16.3784
16.6925
16.6962
16.5362
16.4535
16.4304
16.4662
16.6076
16.2951
16.1993
16.3953
16.3088
16.4452
16.7172
16.6047
16.4839
16.6219
16.7829
16.8685
16.7552
16.3168
15.9804
15.9368
16.1529
15.9869
16.3352
16.4562
16.3161
16.2159
16.4807
16.2229
16.3261
16.3456
16.0910
15.8642
15.8072
15.9522
15.6770
15.5915
15.3337
15.3788
15.4951
15.5957
14.8279
14.9615
14.7987
14.9518
15.3763
15.4834
15.8139
15.5781
15.0709
14.6972
15.0849
15.1941
15.0472
15.5790
15.8142
15.8858
15.9393
日期 淨值
15.7257
15.7955
15.8620
16.1202
16.3134
16.2109
16.2479
16.4953
16.3791
15.9765
16.2045
16.1752
16.1878
16.2519
16.3994
16.1388
16.1315
16.2582
16.0015
16.1247
16.1512
16.2740
16.1198
16.4020
16.7878
16.9731
16.9087
17.1473
17.0814
17.1670
17.3506
17.1645
17.2197
17.3197
16.9551
17.1940
17.4366
16.8821
16.9445
16.7408
17.0041
17.0573
17.1158
17.3086
16.8880
16.4796
16.3947
16.4730
16.7607
16.3908
16.3284
16.2321
16.1917
16.3591
16.7536
16.8478
16.7821
17.0124
17.3873
17.1480
16.9522
16.7957
16.7644
16.5220
16.5196
16.6578
17.0600
16.7220
16.8943
16.8025
16.9582
17.2110
16.7157
16.9504
17.1353
17.1342
17.3083
17.2753
17.1916
17.2805
17.3757
日期 淨值
17.2644
17.2949
17.5961
17.6269
17.9601
17.4426
17.3934
17.4267
17.5027
17.0994
16.9146
17.1580
16.8345
16.9296
16.7293
16.9937
17.4857
17.3934
17.6338
17.7950
18.0135
18.3986
18.3712
18.3203
18.8978
18.7197
18.6091
19.1851
19.3341
19.2153
18.6590
18.4637
18.5089
17.7274
17.8569
17.7730
17.8429
17.8995
18.3488
18.4108
18.4652
17.9643
17.6810
17.4558
17.2971
17.3575
17.7255
18.0246
17.9267
17.5525
17.5161
17.7681
17.8014
17.4479
17.5408
17.8768
18.3129
18.6750
18.8788
18.7116
18.2134
18.2439
18.0525
18.0757
17.9354
17.7986
17.6741
17.5995
16.9288
16.8193
17.0956
17.1185
17.1211
17.4791
17.7614
18.0456
17.8246
18.1543
18.1332
18.4227
一週績效排行1週1個月3個月半年1年3年
中國信託恒生中國高股息ETF基金 6.00 18.93 23.63 15.51 5.25 -5.10
歐義銳榮中國股票基金 R2 5.40 16.54 17.04 7.16 -0.84 -17.38
富達基金-中國內需消費基金 (Y股累計美元) 4.62 22.28 14.64 5.22 -1.49 -21.43
富達基金-中國內需消費基金 (A股美元) 4.58 22.22 14.41 4.80 -2.30 -22.10
富達基金-中國內需消費基金 (A股累計美元) 4.57 22.20 14.40 4.80 -2.30 -22.10
基金淨值 晨星評級 1日 1年
  指數 漲跌 % 時間
台灣加權21258.470.000.000
香港恆生19553.610.000.000
上證綜合2764.70-15.94-0.570
日經指數39055.36267.980.690
道瓊指數40003.59134.210.340
NASDAQ16685.97-12.35-0.070
歐元區指數4521.920.500.010
  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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