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安聯持股權重變化

該投信在「國內投資股票型」的全部基金視為一個組合,計算各檔股票占其總淨資產的比重,逐月排列。 只涵蓋各基金申報的前十大持股。

最新一期 3 檔基金、淨資產 3,948 億元。儲存格為權重 %,顏色越深占比越高; 最右欄為最新月份與前一月的增減百分點,紅為加碼綠為減碼

股票25/0725/0825/0925/1025/1125/1226/0126/0226/0326/0426/0526/0626/07增減
淨資產(億)1,1361,2261,2321,4411,5711,7612,1522,3862,4443,5714,4194,7783,948
基金檔數3333333333333
6223 旺矽4.076.289.229.659.577.977.528.249.828.988.858.498.80+0.31
2330 台積電8.737.999.178.808.218.438.398.518.016.486.205.867.48+1.62
2383 台光電7.036.585.734.084.254.961.145.285.596.515.925.776.14+0.38
6274 台燿2.472.192.894.254.281.763.193.254.686.335.824.65-1.17
3037 欣興0.820.911.371.331.734.61+2.88
6515 穎崴1.273.534.076.208.798.755.714.333.77-0.56
3443 創意1.912.202.970.870.614.182.772.842.70-0.14
2303 聯電2.692.67-0.02
3017 奇鋐8.175.244.375.123.652.140.912.231.962.49+0.53
2327 國巨*3.582.16-1.42
5274 信驊1.984.292.315.105.074.711.922.15+0.23
2345 智邦5.604.224.361.071.531.581.510.691.40+0.71
2344 華邦電4.544.735.107.706.284.534.625.890.89-5.00
2408 南亞科1.101.111.162.812.220.850.82-0.03
8046 南電0.710.78+0.07
2308 台達電3.143.655.445.604.581.193.533.793.574.604.240.670.73+0.07
3189 景碩0.701.520.63-0.89
2368 金像電5.076.174.231.793.823.522.102.36
3665 貿聯-KY6.115.855.145.585.754.71
3653 健策4.055.814.49
6510 精測5.001.051.151.173.401.07
3260 威剛0.903.794.912.153.302.19
5269 祥碩2.67
3264 欣銓2.522.332.25
6805 富世達2.432.51
6669 緯穎1.82
2317 鴻海1.191.481.14
2404 漢唐1.41
2360 致茂0.861.151.060.750.960.990.880.76
2059 川湖0.97
2449 京元電子0.78