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投信基金持股權重

把同一類型的全部基金視為一個組合,計算每檔股票占該類型總淨資產的比重。 只涵蓋各基金申報的前十大持股,故合計小於 100%。資料來源:投信投顧公會,每月中旬公布上月。

國內投資股票型:最新一期 138 檔基金,總淨資產 14,906 億元,其中台股 8,689 億元。 儲存格為權重 %,顏色越深代表占比越高。

股票基金數25/0725/0825/0925/1025/1125/1226/0126/0226/0326/0426/0526/0626/07
2330 台積電1168.307.167.968.027.047.347.857.907.146.366.035.957.66
2383 台光電1144.304.424.103.074.034.262.584.825.276.265.885.886.31
6223 旺矽982.113.194.505.025.064.364.093.735.284.705.035.215.46
3037 欣興980.320.680.850.810.891.102.163.602.884.324.664.354.75
2454 聯發科801.591.050.850.450.610.731.101.450.171.063.093.373.26
3017 奇鋐624.073.352.915.384.013.921.762.183.163.072.311.912.48
2345 智邦563.633.223.552.391.222.380.991.762.582.242.181.762.08
6274 台燿400.791.270.270.881.501.891.471.181.041.472.572.651.85
2303 聯電190.050.070.010.340.762.211.84
2308 台達電632.483.324.324.433.552.464.204.374.264.954.561.441.82
6515 穎崴200.120.261.241.191.411.491.922.423.713.602.201.881.56
3443 創意300.180.460.100.101.090.331.050.490.391.421.221.461.48
2059 川湖351.751.681.982.831.451.350.380.360.360.370.611.001.46
6488 環球晶240.040.010.030.010.020.540.470.400.551.341.351.34
2360 致茂400.721.031.161.721.410.821.081.301.471.491.490.701.30
3653 健策252.794.383.941.232.982.002.091.422.362.250.770.731.25
2327 國巨*210.010.090.030.010.040.010.010.000.903.951.14
8046 南電500.070.040.080.200.020.080.430.621.470.381.051.10
6669 緯穎250.820.760.861.551.781.420.440.200.140.130.310.181.09
5274 信驊220.210.260.240.230.480.741.430.821.641.861.630.731.03
7769 鴻勁270.400.810.951.170.530.401.350.580.94
3665 貿聯-KY224.284.274.055.165.033.900.950.541.472.020.080.040.78
5347 世界80.000.000.000.080.000.000.000.230.650.66
2408 南亞科230.010.010.030.820.941.232.591.760.220.050.150.600.65
3081 聯亞220.160.140.470.350.430.511.131.181.711.281.060.700.61
5483 中美晶40.020.020.190.180.150.180.230.220.210.210.360.420.49
3711 日月光投控280.010.010.010.070.050.070.120.160.120.140.260.320.40
3189 景碩140.060.150.090.130.340.710.33
2886 兆豐金10.190.010.010.010.010.130.30
2344 華邦電70.010.010.171.151.011.212.361.761.560.271.611.850.26
3008 大立光90.060.160.010.120.21
3529 力旺20.440.440.690.690.740.390.200.380.510.660.260.200.18
3231 緯創80.600.090.180.270.220.200.000.010.18
2481 強茂10.010.030.070.060.080.010.010.050.230.15
2368 金像電72.633.732.261.243.723.771.712.031.582.901.440.490.14
5536 聖暉*20.070.470.280.260.270.310.130.130.150.120.130.150.12
6139 亞翔30.000.060.010.020.000.110.130.12
4979 華星光50.040.070.020.020.050.050.280.190.220.170.120.11
3036 文曄40.030.010.000.140.100.11
8996 高力50.000.070.020.100.030.280.230.290.240.270.050.270.10
3491 昇達科50.090.120.140.100.110.240.290.340.200.210.270.100.08
3026 禾伸堂20.000.040.110.08
4958 臻鼎-KY70.130.160.010.010.010.010.030.020.030.100.260.390.08
7734 印能科技60.000.020.000.010.010.07
2376 技嘉20.020.000.000.010.000.06
1303 南亞80.000.060.010.010.070.060.070.010.010.020.020.040.06
3481 群創20.010.070.05
6239 力成10.160.140.000.000.010.010.290.200.050.090.100.05
7828 創新服務10.050.04
2891 中信金50.160.130.160.120.120.120.110.120.100.040.030.050.04
6213 聯茂10.010.010.000.000.04
2885 元大金50.010.000.000.000.020.020.020.030.04
2301 光寶科10.050.500.850.720.540.520.460.430.350.290.040.04
2317 鴻海40.240.530.910.980.540.190.060.030.020.010.020.020.03
6446 藥華藥30.180.120.130.110.110.010.000.000.000.000.000.02
3131 弘塑60.190.080.200.070.070.100.020.020.140.020.020.030.02
2882 國泰金30.010.010.020.010.010.020.010.010.010.000.000.000.02
5289 宜鼎20.010.040.040.010.100.060.050.030.060.030.02
2382 廣達21.270.540.650.540.370.310.290.250.270.040.040.040.02
2313 華通30.010.010.010.010.000.010.170.260.360.010.110.010.02
類型總淨值(億)6,1716,5196,5597,3947,8058,3419,40210,56610,48115,14917,36617,78114,906
基金檔數138138138138138138138138138138138138138