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第一金持股權重變化

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 5 檔基金、淨資產 141 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)556060687774919794145162166141
基金檔數5555555555555
2383 台光電5.634.623.891.974.084.843.986.366.477.117.347.517.95+0.43
2330 台積電6.986.026.956.896.486.587.467.676.486.885.716.966.79-0.17
3037 欣興2.675.895.406.337.467.136.52-0.61
2454 聯發科1.080.441.354.344.665.35+0.69
6223 旺矽3.143.904.224.774.014.053.945.633.834.614.664.78+0.13
3017 奇鋐4.462.943.164.885.175.532.974.255.625.502.852.234.70+2.46
2345 智邦3.750.813.632.232.912.561.574.144.593.203.964.10+0.14
6274 台燿1.001.530.841.150.921.311.180.850.921.054.434.523.56-0.96
2308 台達電3.533.303.583.353.603.634.194.574.245.265.382.592.91+0.32
8046 南電0.512.352.18-0.17
2059 川湖4.112.993.273.590.602.101.76
2327 國巨*1.046.201.55-4.64
2360 致茂0.290.252.100.920.860.591.170.861.304.390.721.17+0.45
3443 創意0.890.600.600.600.490.620.610.610.57-0.05
6669 緯穎2.270.593.504.484.674.150.54
2317 鴻海2.502.883.160.49
5274 信驊0.240.191.260.200.230.340.350.300.34+0.04
5347 世界0.20
8299 群聯5.592.240.200.240.220.17-0.04
3491 昇達科0.200.260.360.330.240.300.180.15-0.03
6488 環球晶0.210.200.260.250.150.15+0.00
6515 穎崴0.570.580.550.572.333.756.023.080.700.630.14-0.49
2368 金像電4.264.560.484.605.094.013.974.465.193.722.00
3665 貿聯-KY3.974.063.684.504.254.400.530.530.54
3653 健策0.892.731.461.492.461.043.944.22
2408 南亞科2.09
6805 富世達0.220.540.571.770.22
6510 精測0.320.240.250.200.581.610.20
3661 世芯-KY1.490.20
6919 康霈*0.740.67
5536 聖暉*0.200.670.220.24
5234 達興材料0.670.610.52
2645 長榮航太0.610.54
5439 高技0.58
2449 京元電子0.470.49
4958 臻鼎-KY0.42
3260 威剛0.220.220.290.31
4772 台特化0.200.28
3324 雙鴻0.240.270.200.230.20
8086 宏捷科0.210.230.26