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群益持股權重變化

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 7 檔基金、淨資產 504 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)281305301335339356384429404566617618504
基金檔數7777777777777
6223 旺矽1.271.792.381.822.812.655.365.387.207.197.737.487.87+0.39
2330 台積電7.015.396.026.166.156.386.546.896.025.085.095.247.39+2.15
2383 台光電5.585.422.772.482.752.822.223.814.815.926.036.267.05+0.78
2454 聯發科1.732.221.814.784.694.60-0.08
6669 緯穎2.302.783.272.621.942.222.562.592.602.214.08+1.87
3037 欣興0.360.421.382.303.104.354.824.274.06-0.21
6139 亞翔0.103.053.613.58-0.03
5536 聖暉*2.472.794.104.662.632.703.232.813.063.513.09-0.42
3017 奇鋐1.682.084.526.856.716.513.512.524.995.032.622.132.80+0.67
2345 智邦1.301.902.482.102.054.091.652.071.741.782.492.292.70+0.40
2360 致茂0.380.481.950.610.690.422.45+2.03
3491 昇達科1.852.122.422.142.483.124.174.284.013.113.802.302.05-0.25
8046 南電0.360.901.231.781.951.89-0.05
4958 臻鼎-KY2.832.030.090.142.252.741.84-0.90
3008 大立光0.781.021.83+0.81
3665 貿聯-KY1.261.691.592.082.372.021.251.64
2059 川湖4.384.064.414.902.972.391.22
2303 聯電0.850.72-0.13
6274 台燿1.410.991.061.170.710.890.970.570.480.811.130.820.66-0.15
6488 環球晶0.730.360.490.65+0.16
5274 信驊0.490.960.740.841.000.980.580.790.400.350.64+0.30
3081 聯亞0.851.450.470.47
5289 宜鼎0.470.46-0.01
3231 緯創2.410.40
5347 世界0.810.450.39-0.06
2344 華邦電0.340.21-0.14
8299 群聯0.501.956.714.761.330.910.72
3105 穩懋1.985.663.811.78
2308 台達電0.452.853.902.612.622.723.203.293.553.801.37
6446 藥華藥3.442.472.782.422.47
3443 創意1.831.851.891.943.012.271.741.651.211.261.45
6515 穎崴0.661.171.601.631.381.311.601.672.942.681.691.57
2317 鴻海1.692.842.302.75
6805 富世達0.732.550.370.802.502.460.190.38
2327 國巨*0.260.152.47
8358 金居0.671.901.792.072.112.412.121.750.94
3653 健策1.202.141.020.440.450.47
6415 矽力*-KY2.03
8996 高力0.900.920.970.781.77
2408 南亞科1.570.390.37