13.91新台幣0.14(1.02%)
2023/03/23更新
淨值走勢
基金總覽
基金規模3,910.28百萬截至 2023-02-28
持股明細 / 風險評估
- 1.美國67.53%
- 2.已開發亞洲6.02%
- 3.新興亞洲4.22%
- 4.歐元區3.96%
- 5.中東2.49%
- 1.科技64.77%
- 2.周期性消費8.82%
- 3.電訊服務5.74%
- 4.健康護理4.66%
- 5.房地產1.59%
- 1.Fair Isaac Corp2.31%
- 2.International Business Machines Corp2.02%
- 3.Alteryx Inc Class A1.91%
- 4.Microsoft Corp1.90%
- 5.Analog Devices Inc1.85%
- 1.美國67.53%
- 2.已開發亞洲6.02%
- 3.新興亞洲4.22%
- 4.歐元區3.96%
- 5.中東2.49%
- 1.Fair Isaac Corp2.31%
- 2.International Business Machines Corp2.02%
- 3.Alteryx Inc Class A1.91%
- 4.Microsoft Corp1.90%
- 5.Analog Devices Inc1.85%
- 1.科技64.77%
- 2.周期性消費8.82%
- 3.電訊服務5.74%
- 4.健康護理4.66%
- 5.房地產1.59%