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摩根持股權重變化

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 4 檔基金、淨資產 345 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)156170172188191201217257253360433415345
基金檔數4444444444444
2330 台積電8.777.978.908.738.258.428.738.287.397.607.118.838.60-0.23
2454 聯發科0.880.760.720.660.690.673.406.465.046.989.588.708.47-0.24
3008 大立光3.544.49+0.95
7769 鴻勁5.706.184.344.623.083.074.603.764.14+0.38
2345 智邦4.464.874.174.394.505.141.183.884.424.584.064.333.80-0.53
2308 台達電0.490.503.025.665.955.836.866.796.677.376.870.513.58+3.07
6515 穎崴4.354.591.350.414.741.210.420.380.300.312.66+2.35
2383 台光電5.875.583.904.345.385.084.245.885.175.660.280.252.43+2.19
3481 群創3.072.03-1.04
7828 創新服務2.311.81-0.50
3711 日月光投控0.210.230.310.290.300.330.360.320.330.350.991.00+0.01
2313 華通3.780.49
6285 啟碁3.700.910.49-0.42
2317 鴻海0.910.944.384.780.850.770.690.640.480.340.370.370.45+0.07
5904 寶雅0.380.320.35
6415 矽力*-KY1.180.330.350.340.940.28-0.66
3131 弘塑3.833.563.850.310.300.330.26-0.07
6223 旺矽4.194.304.214.180.530.500.26
3491 昇達科3.944.294.330.463.294.070.280.26-0.02
2303 聯電0.190.230.260.23-0.03
2891 中信金0.740.671.470.260.270.290.271.050.980.180.750.22-0.53
2882 國泰金0.240.250.220.220.250.230.200.190.18
3231 緯創4.552.214.894.624.19
2368 金像電4.510.380.374.514.314.093.853.45
3653 健策4.373.533.772.563.913.07
3167 大量2.491.294.09
2395 研華4.08
6274 台燿3.960.37
4991 環宇-KY0.413.883.650.940.29
3665 貿聯-KY3.793.860.473.872.54
2059 川湖1.353.802.522.35
3017 奇鋐3.520.18
6147 頎邦3.002.00
2449 京元電子2.572.682.38
6669 緯穎2.652.610.19
8046 南電0.370.362.36
3533 嘉澤2.34
6531 愛普*2.09
3105 穩懋2.00
4551 智伸科1.350.420.41