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統一持股權重變化

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 10 檔基金、淨資產 1,926 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)8398948951,0531,1361,2131,2491,3991,4062,0722,2462,2961,926
基金檔數10101010101010101010101010
2383 台光電1.293.084.584.166.776.072.827.378.358.768.578.078.67+0.60
2330 台積電8.588.078.738.597.608.318.588.487.446.126.166.528.00+1.49
3017 奇鋐7.307.346.858.397.888.116.166.568.057.766.575.656.27+0.62
3037 欣興0.131.532.972.543.185.845.765.52-0.23
6223 旺矽0.291.723.004.535.155.022.782.413.043.564.384.965.38+0.43
2454 聯發科2.240.610.450.532.535.155.34+0.19
2345 智邦4.495.606.515.593.103.662.983.984.534.645.504.094.75+0.66
3665 貿聯-KY5.336.956.697.367.265.710.702.134.556.180.260.183.32+3.14
3653 健策2.693.814.240.473.594.104.532.625.625.962.391.582.42+0.84
6669 緯穎0.402.071.902.185.235.262.320.500.310.730.442.36+1.92
2308 台達電3.865.335.135.193.873.226.025.796.277.056.361.202.12+0.92
2327 國巨*2.727.392.07-5.32
8046 南電0.190.840.170.231.854.290.190.690.99+0.30
6274 台燿0.571.682.113.731.360.320.391.771.990.90-1.08
3443 創意0.191.850.420.67
8996 高力0.160.191.680.971.031.051.061.050.65-0.40
2360 致茂0.200.130.120.380.470.730.480.350.60
2303 聯電4.060.60-3.47
3711 日月光投控0.36
2368 金像電4.636.264.262.846.937.382.953.013.384.263.400.740.11-0.63
3661 世芯-KY6.365.910.10
8299 群聯0.880.915.531.49
2059 川湖0.780.792.783.002.091.83
2382 廣達2.930.39
3533 嘉澤1.930.511.970.410.66
6442 光聖1.201.960.620.100.09
3081 聯亞0.120.900.941.92
6805 富世達0.841.410.141.311.600.94
6515 穎崴0.190.790.131.571.260.38
6191 精成科1.21
2344 華邦電0.711.18
2313 華通0.670.821.07
2408 南亞科0.880.590.39
8210 勤誠0.360.430.420.870.32
4979 華星光0.160.130.860.150.14
4958 臻鼎-KY0.75
6285 啟碁0.72
2337 旺宏0.66
3231 緯創0.58
2317 鴻海0.530.550.34