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野村持股權重變化

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 9 檔基金、淨資產 1,573 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)6427127258048589061,0371,2201,1991,7901,9251,8311,573
基金檔數9999999999999
2059 川湖5.805.105.406.604.224.813.122.332.192.534.708.019.47+1.46
2330 台積電8.687.468.328.197.047.657.688.047.406.226.136.767.64+0.89
2383 台光電2.673.385.634.354.885.003.895.165.195.616.176.827.46+0.63
3653 健策4.297.986.634.486.544.963.213.505.495.293.204.305.99+1.70
7769 鴻勁1.732.453.984.832.522.385.683.925.11+1.19
3037 欣興1.044.555.454.006.926.644.605.04+0.44
2454 聯發科0.820.101.886.425.084.67-0.41
6223 旺矽0.980.412.212.151.180.180.180.183.701.551.523.353.82+0.47
2308 台達電5.075.737.947.675.674.075.335.043.975.115.363.223.53+0.31
6515 穎崴0.712.441.593.533.654.263.874.844.412.433.242.41-0.83
2408 南亞科1.761.862.013.270.411.30
3081 聯亞1.070.761.591.792.692.061.09-0.97
3036 文曄1.160.910.97+0.06
4979 華星光0.791.051.251.190.950.86-0.09
2327 國巨*2.450.77-1.67
3026 禾伸堂0.74
3231 緯創1.030.090.64+0.56
2376 技嘉0.61
8046 南電0.210.542.431.602.541.771.640.53-1.11
6274 台燿0.950.46-0.50
6213 聯茂0.35
3008 大立光0.28
2368 金像電0.370.400.900.692.922.142.062.060.793.822.660.770.16-0.60
2382 廣達0.140.160.140.140.120.110.150.14-0.01
2891 中信金0.150.140.160.140.130.120.080.080.100.11+0.01
6121 新普0.380.330.280.220.200.200.170.140.140.100.100.110.11-0.00
2883 凱基金0.060.080.10+0.02
2027 大成鋼0.180.09
3665 貿聯-KY3.284.855.636.536.133.622.011.490.75
6442 光聖1.561.802.894.144.634.193.750.330.25
6805 富世達3.434.001.221.931.190.990.410.421.52
8299 群聯2.492.133.013.841.891.59
2345 智邦1.402.192.042.100.243.710.352.002.230.15
3017 奇鋐3.293.240.933.463.423.570.532.943.523.500.46
3211 順達1.962.842.451.860.110.100.15
3529 力旺2.462.252.161.921.851.65
2344 華邦電0.250.250.802.251.451.090.08
6239 力成2.071.20
6669 緯穎1.88
3533 嘉澤1.591.53