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復華持股權重變化

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 689 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)502418403435447485511553508721847904689
基金檔數7777777777777
2383 台光電3.654.444.244.365.455.055.457.298.7110.589.238.6110.03+1.41
2330 台積電9.569.289.759.649.129.199.359.549.248.467.305.467.82+2.36
3037 欣興4.783.717.307.537.226.84-0.38
2345 智邦3.773.794.993.970.962.051.011.805.034.213.163.915.86+1.95
6223 旺矽0.841.563.503.971.880.702.792.855.624.294.433.505.73+2.24
2454 聯發科0.550.660.650.370.350.410.352.063.795.624.33-1.30
2408 南亞科1.037.066.443.522.172.954.17+1.22
8046 南電1.772.903.86+0.96
7769 鴻勁1.165.105.156.213.140.794.070.753.20+2.45
2327 國巨*4.218.882.77-6.11
3017 奇鋐4.323.774.056.394.584.821.404.913.941.781.92
2360 致茂0.270.350.340.240.751.352.191.361.86+0.50
5274 信驊1.500.840.821.061.131.222.351.301.061.35+0.29
3711 日月光投控0.400.961.001.07+0.07
3189 景碩1.610.98-0.64
2308 台達電0.963.684.504.494.113.615.886.536.677.226.550.74
2303 聯電0.660.650.63-0.02
2885 元大金0.330.320.350.360.49+0.13
3231 緯創0.560.900.520.500.35
2404 漢唐4.216.180.430.340.290.310.33+0.03
2891 中信金1.110.991.060.910.850.880.770.760.560.310.310.340.33-0.01
6669 緯穎2.312.774.205.355.395.520.380.430.33
2882 國泰金0.32
8299 群聯2.985.739.517.065.053.064.122.48
3665 貿聯-KY4.674.564.926.656.715.624.641.972.462.76
2059 川湖2.392.643.685.083.502.63
2368 金像電3.335.023.520.594.784.433.041.792.253.420.90
2382 廣達2.641.952.091.871.100.500.490.600.430.400.29
3653 健策0.730.601.082.33
6274 台燿0.570.512.121.48
6781 AES-KY2.070.92
2357 華碩1.241.421.571.440.40
8210 勤誠1.530.54
2317 鴻海0.931.210.530.450.430.39
2603 長榮1.18
3026 禾伸堂1.14
2618 長榮航1.060.740.760.670.38
3044 健鼎0.551.050.370.37
1560 中砂0.690.660.79
2301 光寶科0.560.770.50