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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。

國內主動式ETF:最新一期 22 檔基金,總淨資產 8,052 億元,其中台股 4,195 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219.399.2010.388.949.3410.7611.1110.9510.348.9211.6311.3411.53
2383 台光電171.532.732.602.613.203.542.554.205.066.115.645.685.71
2454 聯發科191.462.600.650.540.600.390.840.890.262.724.015.565.24
3037 欣興140.021.270.801.204.234.613.76
6223 旺矽153.202.462.102.161.952.373.140.062.383.983.71
2345 智邦122.533.564.133.493.683.882.803.043.933.802.753.863.68
3017 奇鋐111.702.213.726.305.335.312.832.884.273.463.593.543.55
6669 緯穎111.033.453.865.795.072.602.680.820.932.151.402.87
2327 國巨*40.150.183.236.642.12
3665 貿聯-KY61.822.772.543.132.752.830.910.092.443.020.231.94
2059 川湖90.271.020.430.270.110.090.461.28
2303 聯電40.240.150.080.660.720.240.051.543.401.22
2308 台達電112.243.041.853.072.783.024.644.083.933.803.810.571.01
2344 華邦電20.240.170.190.771.250.66
2408 南亞科30.340.361.651.610.870.410.550.61
5536 聖暉*11.331.581.511.911.430.980.951.030.520.490.600.44
2360 致茂41.581.480.800.520.670.630.610.600.360.42
3008 大立光30.090.230.31
6139 亞翔10.090.070.750.680.520.290.290.350.28
8046 南電60.212.870.020.310.24
3443 創意20.060.030.040.220.100.17
6274 台燿30.231.832.332.030.040.030.130.430.14
5274 信驊30.500.600.541.610.550.140.010.13
6488 環球晶10.100.110.12
7769 鴻勁30.711.441.840.630.220.460.140.11
3711 日月光投控30.170.240.210.970.060.07
2027 大成鋼10.05
2376 技嘉10.200.030.05
2317 鴻海14.452.303.892.890.660.450.240.270.160.080.050.05
3081 聯亞10.05
3653 健策10.761.901.781.682.582.450.060.04
2412 中華電20.380.200.210.270.250.160.690.760.430.030.030.04
3036 文曄10.760.930.260.020.04
6187 萬潤10.030.020.04
2357 華碩11.020.320.180.130.010.070.090.04
6442 光聖10.400.310.04
2881 富邦金11.050.530.260.540.270.210.070.140.040.100.030.03
3045 台灣大20.190.120.070.070.070.060.030.030.020.03
2891 中信金10.690.210.240.190.490.310.240.230.060.030.070.040.03
4958 臻鼎-KY12.740.060.070.050.420.03
2368 金像電11.292.102.252.184.102.450.180.172.472.760.840.100.03
3034 聯詠10.03
2382 廣達11.100.310.280.090.080.060.230.140.090.060.02
1216 統一10.130.040.02
2472 立隆電10.090.030.030.02
5347 世界10.02
2887 台新新光金10.090.060.160.110.070.070.050.040.030.020.01
2885 元大金10.060.160.110.070.070.060.050.040.030.010.01
3491 昇達科10.280.01
2890 永豐金10.01
3529 力旺10.030.01
1519 華城10.01
2884 玉山金10.01
3231 緯創12.410.210.810.01
2886 兆豐金10.01
8299 群聯1.956.164.181.170.570.470.45
2449 京元電子1.900.992.721.021.140.76
3661 世芯-KY1.352.090.070.03
6510 精測1.32
6805 富世達1.100.800.020.02
類型總淨值(億)1674474905558211,3031,5431,8722,2845,2967,6968,0068,052
基金檔數55555911111316172022