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篩選結果: 353隻
| 代號 | 名稱 | 各階段回報 | 1個月回報 | 3個月回報 | 6個月回報 | 1年回報 | 3年回報 | 回報評分 | |
| 82828 | 恒生中國企業-R | -3.10% | -3.08% | -10.01% | -7.26% | +47.44% | 0.903 | ||
| 82829 | 安碩中國國債-R | -0.11% | +0.59% | +0.71% | +2.19% | +13.93% | 2.671 | ||
| 82830 | 南方沙特-R | -2.50% | +3.67% | +1.52% | -8.48% | -- | 0.794 | ||
| 82832 | 博時科創50-R | -6.61% | +4.93% | -0.98% | +23.14% | +26.86% | 6.354 | ||
| 82839 | 華夏A50-R | +0.08% | -0.98% | +2.19% | +22.45% | +30.38% | 6.173 | ||
| 82840 | SPDR金-R 創1個月低 | +0.82% | +13.37% | +33.22% | +58.45% | -- | 9.386 | ||
| 82843 | 東匯A50-R | -1.07% | -1.59% | 0.00% | +11.83% | +23.26% | 4.838 | ||
| 82846 | 安碩滬深三百-R | -1.08% | +2.23% | +3.93% | +18.98% | +25.23% | 5.560 | ||
| 83001 | PP中地美債-R | -0.66% | +12.00% | -1.20% | -7.62% | -33.79% | 0.830 | ||
| 83005 | X南方中五百-R | -2.15% | +15.80% | +17.41% | +39.02% | +38.86% | 8.664 | ||
| 83010 | 安碩亞洲除日-R | -3.42% | +9.01% | +8.89% | +28.44% | +68.90% | 7.473 | ||
| 83012 | 東匯香港35-R | +4.97% | +4.97% | +16.51% | +29.81% | +28.00% | 7.581 | ||
| 83038 | 恒生A股低碳-R | -1.48% | +0.83% | +1.42% | +18.25% | -- | 5.451 | ||
| 83042 | 華夏比特幣-R | +11.63% | -16.68% | -38.93% | -16.28% | -- | 0.181 | ||
| 83046 | 華夏以太幣-R | +11.73% | -17.41% | -50.81% | +13.94% | -- | 5.018 | ||
| 83053 | A南方港元-R | -0.29% | -3.14% | -2.63% | -4.11% | +16.89% | 1.191 | ||
| 83059 | GX亞洲綠債-R | +1.64% | +1.64% | +1.64% | +0.15% | +16.62% | 2.022 | ||
| 83069 | 華夏恒生生科-R | -8.36% | -6.73% | -20.53% | +34.28% | -- | 8.339 | ||
| 83081 | 價值黃金-R 創1個月低 | +0.68% | +13.24% | +32.74% | +59.33% | +157.92% | 9.458 | ||
| 83088 | 華夏恒生科技-R | -5.17% | -8.45% | -22.20% | -16.18% | -- | 0.217 |
更多篩選
一年風險率以過往一年數據計算的標準差來衡量投資回報的穩定性。
- 標準差越大:回報偏離平均值越多,風險越高
- 標準差越小:回報越穩定,風險越低
啤打系數(Beta)用於比較個股升跌與大市的關係。啤打系數越高,波幅越大;啤打系數越低,波幅越穩定。
= 1:股票升跌與大市同步。
> 1:股票波幅大於大市。
< 1:股票波幅小於大市。
< 0:股票波幅與大市相反。
升降指標用來分析股票走勢,透過比較股票的按盤價和多條簡單移動平均線(SMA)。
< 25:趨勢較疲弱
25 ~ 75:處於中性,沒有明顯的方向
> 75:趨勢較強
短線升降指標:按盤價對比10天,20及50天簡單移動平均線
中線升降指標:按盤價對比20天,50及100天簡單移動平均線
長線升降指標:按盤價對比50天,100及250天簡單移動平均線
*無成交時,則無升降指標數據顯示。
報價延遲最少15分鐘,更新:18/03/2026 16:40