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富邦持股權重變化

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 17 檔基金、淨資產 485 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)161322314359378389409443425609636619485
基金檔數8171717171717171717171717
2383 台光電3.505.193.520.971.341.781.983.774.175.735.775.877.33+1.46
3037 欣興0.773.622.965.066.756.676.17-0.50
8046 南電2.831.754.255.58+1.33
6223 旺矽0.845.427.047.867.917.156.494.865.685.165.564.165.16+1.00
3081 聯亞3.642.662.271.481.841.983.683.625.894.513.593.034.18+1.16
2330 台積電4.353.845.655.142.552.214.334.092.102.982.362.974.16+1.19
3443 創意0.110.111.211.922.95+1.03
2308 台達電1.963.653.873.412.384.384.784.685.144.942.532.75+0.22
6488 環球晶0.652.45+1.80
3189 景碩2.392.26-0.13
7734 印能科技0.080.100.110.240.212.20+1.99
3665 貿聯-KY7.775.205.057.087.686.824.932.463.662.901.052.13
2454 聯發科2.661.310.190.160.150.161.231.841.62-0.22
3017 奇鋐1.263.281.416.776.016.133.422.513.363.301.781.251.56+0.31
2408 南亞科0.820.891.01+0.12
1303 南亞0.140.320.94+0.62
2345 智邦3.912.492.222.122.272.211.011.151.080.960.610.240.90+0.66
6274 台燿1.991.271.972.883.230.210.760.131.202.680.71-1.97
4979 華星光0.540.690.910.720.680.710.560.60+0.05
3532 台勝科0.51
2327 國巨*0.480.410.270.230.914.460.50-3.96
2360 致茂0.371.014.512.900.791.061.551.651.642.760.490.48-0.02
2059 川湖0.090.770.940.190.340.47+0.12
2344 華邦電0.944.080.43-3.65
7769 鴻勁1.640.270.38+0.11
2912 統一超0.27
1560 中砂0.981.120.660.250.170.200.200.240.200.180.230.250.26+0.02
8996 高力0.210.210.250.240.320.23-0.10
6669 緯穎1.722.951.391.051.570.130.080.22
3167 大量0.140.150.180.150.190.240.980.270.300.22-0.08
2049 上銀1.900.900.800.730.340.410.540.420.080.070.21+0.14
7750 新代0.210.190.160.21+0.05
5347 世界0.220.21-0.01
2891 中信金0.480.390.500.430.420.470.450.460.440.16
3131 弘塑0.170.14-0.03
6526 達發0.070.070.07-0.00
8299 群聯2.415.498.544.381.231.230.66
2368 金像電3.842.521.994.273.901.261.231.152.451.21
3661 世芯-KY3.911.500.080.090.08
2455 全新3.581.181.07