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台新持股權重變化

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 204 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)97106104108109115128149155236267255204
基金檔數9999999999999
2383 台光電2.992.742.811.841.472.441.993.175.005.825.796.246.87+0.63
2330 台積電5.314.575.506.486.176.346.746.615.623.484.234.976.25+1.28
6223 旺矽0.170.262.622.763.913.604.093.655.564.975.315.636.10+0.47
6274 台燿3.283.142.441.884.505.074.213.913.994.566.986.855.66-1.19
3017 奇鋐4.764.304.045.494.995.203.673.924.274.103.433.394.60+1.21
3037 欣興2.031.140.350.541.790.872.733.724.963.71-1.25
3443 創意0.992.66+1.68
2360 致茂1.341.320.881.001.201.232.363.501.102.46+1.36
3081 聯亞0.351.490.320.390.372.271.942.833.052.211.792.11+0.32
6488 環球晶0.190.201.99
7769 鴻勁1.081.75
8046 南電0.431.601.55-0.05
2308 台達電1.241.421.572.100.441.292.172.762.702.972.961.341.41+0.07
2454 聯發科0.140.130.060.070.070.050.060.081.27
3231 緯創0.070.070.80
3711 日月光投控0.370.350.381.190.340.330.320.690.71+0.01
5274 信驊0.190.190.190.200.270.250.280.650.690.700.710.580.70+0.12
3189 景碩0.350.380.410.520.640.710.63-0.08
6669 緯穎0.800.310.451.701.421.710.55
3665 貿聯-KY2.112.281.163.914.253.800.731.090.49
2408 南亞科0.480.44-0.04
3661 世芯-KY2.652.531.371.331.301.680.440.410.410.37-0.03
6515 穎崴0.340.360.350.370.382.171.630.360.350.31-0.04
6770 力積電0.540.510.340.330.310.27-0.05
5347 世界0.230.150.150.210.170.140.110.120.160.26+0.10
3167 大量0.380.310.350.25-0.10
3105 穩懋0.210.160.180.230.230.230.200.170.14-0.02
3131 弘塑1.390.940.960.380.350.660.310.160.13-0.03
3357 臺慶科0.060.09+0.04
5483 中美晶0.070.09+0.02
6584 南俊國際0.050.050.08+0.03
4938 和碩0.08
6257 矽格0.060.08+0.02
3264 欣銓0.070.160.130.060.07+0.01
3481 群創0.070.07-0.00
2493 揚博0.380.06-0.32
2368 金像電2.032.412.212.355.265.414.354.384.404.652.711.22
2337 旺宏3.123.173.501.46
2345 智邦1.811.813.330.900.071.360.060.070.07
3653 健策2.082.283.322.452.872.501.801.691.961.39