美股
基金
外匯、加密貨幣
滬、深港通
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強積金簡易搜尋

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成分基金 類別 價格 1年回報 6個月回報 3個月回報 1個月回報 本年迄今回報
開支比率 
基金開支比率?

基金開支比率以百分率顯示有關基金於上一個財政年度的收費。由於比率是根據上一財政期的數據編製,因此已公布的基金開支比率不能反映現年度的任何費用、或開支調整。倘若基金成立不足兩年,不用提供基金開支比率。
 

 友邦強積金優選計劃

中港基金 股票 146.430
2024/09/30
+22.34% +30.90% +20.29% +16.67% +27.36% 0.78%
大中華股票基金 股票 280.530
2024/09/30
+22.35% +22.00% +13.06% +15.57% +21.84% 1.67%
中港動態資產配置基金 混合資產 102.940
2024/09/30
+13.52% +18.59% +14.09% +11.35% +16.69% 1.28%
增長組合 混合資產 323.990
2024/09/30
+21.45% +11.89% +8.65% +5.86% +15.71% 1.67%
亞洲股票基金 股票 360.300
2024/09/30
+21.87% +10.91% +5.57% +3.92% +14.28% 1.69%
美洲基金 股票 379.820
2024/09/30
+33.15% +8.93% +4.93% +1.66% +19.86% 0.82%
全球基金 股票 227.360
2024/09/30
+29.40% +8.57% +5.67% +1.89% +17.29% 0.84%
均衡組合 混合資產 234.760
2024/09/30
+15.63% +8.31% +7.07% +3.90% +9.53% 1.67%
基金經理精選退休基金 混合資產 205.760
2024/09/30
+15.86% +8.18% +6.68% +3.57% +9.66% 1.46%
綠色退休基金 股票 300.060
2024/09/30
+28.24% +8.06% +5.51% +1.73% +16.35% 1.42%
北美股票基金 股票 447.730
2024/09/30
+31.28% +8.00% +4.45% +1.40% +19.35% 1.67%
亞歐基金 股票 206.150
2024/09/30
+22.72% +7.90% +7.13% +2.29% +12.77% 0.84%
穩定資本組合 混合資產 200.830
2024/09/30
+13.04% +6.44% +6.09% +2.61% +6.77% 1.67%
核心累積基金 混合資產 1.564
2024/09/30
+20.12% +6.15% +4.89% +1.35% +10.94% 0.79%
歐洲股票基金 股票 327.970
2024/09/30
+22.57% +4.77% +3.94% -0.70% +11.04% 1.67%
亞洲債券基金 債券 114.390
2024/09/30
+9.40% +4.49% +4.09% +0.98% +3.86% 0.78%
環球債券基金 債券 113.940
2024/09/30
+10.33% +4.05% +5.13% +1.11% +2.76% 0.98%
65歲後基金 混合資產 1.163
2024/09/30
+11.26% +3.70% +3.95% +1.03% +4.66% 0.80%
強積金保守基金 強積金保守 121.640
2024/09/30
+3.39% +1.56% +0.77% +0.23% +2.50% 0.78%
保證組合 保證 N/A
N/A N/A N/A N/A N/A 1.56%

 AMTD 強積金計劃

AMTD 景順香港中國基金 股票 12.153
2024/09/30
+13.54% +24.00% +18.19% +18.80% +21.49% 1.29%
AMTD 景順亞洲基金 股票 17.416
2024/09/30
+19.43% +13.24% +6.44% +4.68% +13.42% 1.38%
AMTD 安聯精選增長基金 混合資產 22.600
2024/09/30
+22.49% +12.39% +9.66% +6.56% +17.40% 1.31%
AMTD 安聯精選均衡基金 混合資產 19.194
2024/09/30
+19.21% +10.52% +8.84% +5.48% +13.96% 1.32%
AMTD 景順目標2048退休基金 混合資產 19.469
2024/09/30
+17.56% +9.96% +8.50% +4.71% +11.87% 1.70%
AMTD 景順目標2038退休基金 混合資產 18.001
2024/09/30
+15.89% +8.75% +7.88% +3.80% +9.90% 1.56%
AMTD 安聯精選穩定增長基金 混合資產 16.194
2024/09/30
+16.17% +8.57% +7.85% +4.28% +10.54% 1.30%
AMTD 景順目標2028退休基金 混合資產 15.721
2024/09/30
+13.78% +7.43% +7.03% +2.91% +7.64% 1.70%
AMTD景順目標現在退休基金 混合資產 14.020
2024/09/30
+12.59% +6.73% +6.59% +2.44% +6.34% 1.89%
AMTD 安聯精選穩定資本基金 混合資產 13.548
2024/09/30
+12.83% +6.58% +6.85% +3.19% +7.15% 1.32%
AMTD 景順核心累積基金 混合資產 15.779
2024/09/30
+21.40% +6.19% +4.54% +1.24% +11.89% 0.89%
AMTD 景順環球債券基金 債券 10.647
2024/09/30
+9.86% +4.81% +5.41% +0.99% +3.06% 1.37%
AMTD 景順65歲後基金 混合資產 11.704
2024/09/30
+11.80% +3.77% +3.74% +0.87% +5.05% 0.91%
AMTD 安聯精選靈活資產基金 混合資產 14.851
2024/09/30
+8.59% +3.47% +2.28% +0.21% +5.01% 1.31%
AMTD 景順歐洲基金 股票 21.332
2024/09/30
+16.85% +1.84% +3.87% -0.93% +5.73% 1.37%
AMTD 景順強積金保守基金 強積金保守 10.750
2024/09/30
+3.38% +1.65% +0.82% +0.23% +2.46% 1.69%

 交通銀行愉盈退休強積金計劃

交通銀行恒指ESG成分基金 股票 24.484
2024/09/30
+11.38% +31.21% +26.69% +23.45% +18.90% 0.93%
交通銀行中國動力股票成分基金 股票 23.940
2024/09/30
+15.50% +27.60% +20.09% +21.00% +25.68% 1.74%
交通銀行香港動力股票成分基金 股票 20.822
2024/09/30
+15.62% +27.41% +18.87% +19.14% +23.07% 1.71%
交通銀行大中華股票成分基金 股票 28.260
2024/09/30
+16.23% +20.42% +12.17% +13.36% +18.13% 1.71%
交通銀行亞洲動力股票成分基金 股票 42.294
2024/09/30
+24.62% +13.70% +5.43% +5.59% +17.24% 1.72%
交通銀行動力增長成分基金 混合資產 39.036
2024/09/30
+22.03% +12.18% +9.55% +6.51% +17.09% 1.75%
交通銀行均衡成分基金 混合資產 21.743
2024/09/30
+16.55% +9.62% +8.68% +5.42% +11.64% 1.71%
交通銀行北美股票成分基金 股票 13.519
2024/09/30
+32.66% +8.84% +4.97% +1.58% +19.61% N/A
交通銀行平穩增長成分基金 混合資產 17.889
2024/09/30
+13.93% +7.64% +7.48% +3.93% +8.38% 1.70%
交通銀行保證回報成分基金 保證 14.040
2024/09/30
+7.98% +6.95% +4.32% +2.42% +6.35% 1.76%
交通銀行核心累積基金 混合資產 31.742
2024/09/30
+21.87% +6.33% +4.66% +1.27% +12.17% 0.82%
交通銀行環球債券成分基金 債券 23.014
2024/09/30
+10.26% +4.63% +5.68% +1.11% +2.97% 1.20%
交通銀行65歲後基金 混合資產 23.594
2024/09/30
+12.39% +3.94% +3.89% +0.91% +5.30% 0.82%
交通銀行強積金保守基金 強積金保守 14.768
2024/09/30
+3.52% +1.65% +0.81% +0.26% +2.57% 1.04%

 BCT(強積金)行業計劃

BCT (行業) 中國及香港股票基金 股票 3.732
2024/09/30
+19.45% +29.20% +21.02% +20.44% +25.41% 1.67%
BCT(行業)亞洲股票基金 股票 4.026
2024/09/30
+22.79% +13.32% +6.10% +5.49% +18.40% 1.75%
BCT(行業)E70 混合資產基金 混合資產 2.390
2024/09/30
+18.26% +10.24% +9.31% +5.28% +12.02% 1.72%
BCT(行業)E50 混合資產基金 混合資產 2.241
2024/09/30
+15.72% +8.51% +8.19% +4.04% +9.22% 1.72%
BCT(行業)環球股票基金 股票 4.008
2024/09/30
+32.70% +7.77% +4.79% +1.71% +18.37% 1.89%
BCT(行業)E30 混合資產基金 混合資產 2.037
2024/09/30
+13.32% +6.85% +7.13% +2.85% +6.53% 1.71%
BCT(行業)核心累積基金 混合資產 1.568
2024/09/30
+21.79% +6.30% +4.63% +1.26% +12.10% 0.87%
BCT(行業)人民幣債券基金 債券 1.075
2024/09/30
+6.57% +4.18% +4.04% +1.26% +3.88% 1.27%
BCT(行業)65歲後基金 混合資產 1.178
2024/09/30
+12.36% +3.93% +3.90% +0.90% +5.27% 0.87%
BCT靈活混合資產基金 混合資產 1.743
2024/09/30
+8.20% +3.23% +2.18% +0.17% +4.66% 1.64%
BCT(行業)環球債券基金 債券 1.281
2024/09/30
+7.49% +2.40% +4.22% +1.14% +0.85% 1.65%
BCT(行業)強積金保守基金 強積金保守 1.209
2024/09/30
+3.59% +1.71% +0.86% +0.26% +2.59% 0.98%

 BCT積金之選

BCT恒指基金 股票 1.410
2024/09/30
+22.36% +31.17% +20.38% +17.41% +27.53% 0.84%
BCT中國及香港股票基金 股票 0.965
2024/09/30
+15.08% +27.52% +21.33% +20.87% +22.55% 1.51%
BCT大中華股票基金 股票 1.693
2024/09/30
+23.20% +21.01% +13.51% +13.04% +22.48% 1.15%
BCT亞洲股票基金 股票 4.044
2024/09/30
+23.00% +14.41% +7.29% +5.86% +17.79% 1.61%
BCT儲蓄易2050 基金 混合資產 0.994
2024/09/30
+23.38% +13.73% +9.69% +6.82% +17.85% 1.53%
BCT儲蓄易2040 基金 混合資產 2.968
2024/09/30
+23.49% +13.70% +9.58% +6.74% +17.87% 1.50%
BCT儲蓄易2045 基金 混合資產 0.988
2024/09/30
+23.39% +13.52% +9.53% +6.70% +17.74% 1.57%
BCT儲蓄易2035 基金 混合資產 2.855
2024/09/30
+23.06% +13.34% +9.42% +6.47% +17.36% 1.50%
BCT儲蓄易2030 基金 混合資產 2.857
2024/09/30
+21.86% +12.35% +8.82% +5.96% +16.06% 1.50%
BCT E90 混合資產基金 混合資產 2.732
2024/09/30
+22.05% +11.04% +8.33% +5.45% +16.09% 1.51%
BCT E70 混合資產基金 混合資產 2.491
2024/09/30
+19.10% +9.53% +7.77% +4.70% +12.95% 1.52%
BCT美國股票基金 股票 1.182
2024/09/30
+32.66% +8.86% +4.70% +1.74% +19.16% 0.95%
BCT世界股票基金 股票 2.830
2024/09/30
+28.00% +7.94% +5.73% +2.12% +16.20% 1.01%
BCT E50 混合資產基金 混合資產 2.237
2024/09/30
+16.09% +7.70% +6.95% +3.64% +9.65% 1.51%
BCT儲蓄易2025 基金 混合資產 2.683
2024/09/30
+14.52% +7.50% +6.06% +3.40% +9.06% 1.25%
BCT環球股票基金 股票 4.607
2024/09/30
+28.08% +7.45% +4.99% +1.60% +16.53% 1.49%
BCT 核心累積基金 混合資產 1.588
2024/09/30
+21.80% +6.32% +4.63% +1.26% +12.12% 0.79%
BCT儲蓄易2020 基金 混合資產 2.440
2024/09/30
+13.04% +6.24% +5.29% +2.72% +7.40% 1.25%
BCT E30 混合資產基金 混合資產 1.892
2024/09/30
+13.11% +5.89% +6.13% +2.58% +6.39% 1.51%
BCT港元債券基金 債券 1.269
2024/09/30
+9.60% +4.79% +3.73% +0.73% +4.74% 1.06%
BCT人民幣債券基金 債券 1.074
2024/09/30
+6.60% +4.20% +4.04% +1.26% +3.92% 1.23%
BCT 65歲後基金 混合資產 1.182
2024/09/30
+12.37% +3.94% +3.87% +0.89% +5.29% 0.79%
BCT環球債券基金 債券 1.478
2024/09/30
+8.83% +3.39% +5.11% +1.16% +1.82% 1.46%
BCT靈活混合資產基金 混合資產 1.843
2024/09/30
+8.48% +3.37% +2.24% +0.20% +4.88% 1.35%
BCT亞洲收益退休基金 混合資產 0.982
2024/09/30
+1.85% +1.84% +1.98% +0.90% +1.35% 1.60%
BCT強積金保守基金 強積金保守 1.223
2024/09/30
+3.68% +1.76% +0.88% +0.26% +2.66% 0.90%
BCT歐洲股票基金 股票 1.641
2024/09/30
+17.78% +1.55% +3.75% -0.25% +6.88% 1.58%

 東亞(強積金)行業計劃

東亞中國追蹤指數基金 股票 8.534
2024/09/30
+24.89% +33.05% +20.59% +18.84% +33.42% 1.20%
東亞香港追蹤指數基金 股票 13.680
2024/09/30
+22.49% +31.00% +20.28% +17.22% +27.47% 0.61%
東亞 (行業計劃) 香港股票基金 股票 10.894
2024/09/30
+18.48% +26.23% +17.93% +17.68% +24.97% 1.28%
東亞 (行業計劃) 大中華股票基金 股票 17.034
2024/09/30
+22.25% +20.47% +11.85% +13.33% +22.71% 1.32%
東亞 (行業計劃) 亞洲股票基金 股票 17.633
2024/09/30
+27.35% +10.46% +1.22% +2.46% +20.41% 1.29%
東亞 (行業計劃) 增長基金 混合資產 26.562
2024/09/30
+19.35% +8.96% +6.80% +4.19% +13.56% 1.38%
東亞 (行業計劃) 均衡基金 混合資產 22.262
2024/09/30
+16.29% +7.18% +6.08% +3.12% +10.12% 1.36%
東亞 (行業計劃) 核心累積基金 混合資產 16.285
2024/09/30
+22.70% +6.51% +4.69% +1.34% +13.06% 0.78%
東亞 (行業計劃) 平穩基金 混合資產 19.491
2024/09/30
+12.80% +5.30% +5.33% +2.11% +6.56% 1.32%
東亞 (行業計劃) 65歲後基金 混合資產 12.047
2024/09/30
+12.71% +4.09% +4.19% +1.02% +5.69% 0.79%
東亞 (行業計劃) 人民幣及港幣貨幣市場基金 貨幣市場 11.124
2024/09/30
+4.27% +2.78% +2.48% +0.60% +2.47% 0.79%
東亞 (行業計劃) 強積金保守基金 強積金保守 14.796
2024/09/30
+3.59% +1.74% +0.86% +0.27% +2.65% 1.16%

 東亞(強積金)集成信託計劃

東亞中國追蹤指數基金 股票 8.267
2024/09/30
+24.79% +32.97% +20.53% +18.83% +33.33% 1.21%
東亞香港追蹤指數基金 股票 13.681
2024/09/30
+22.39% +30.90% +20.21% +17.19% +27.36% 0.62%
東亞(強積金)香港股票基金 股票 18.330
2024/09/30
+18.40% +26.25% +18.00% +17.71% +25.03% 1.27%
東亞 (強積金) 大中華股票基金 股票 21.372
2024/09/30
+23.22% +20.32% +12.03% +13.35% +23.25% 1.29%
東亞(強積金)亞洲股票基金 股票 30.175
2024/09/30
+27.79% +10.66% +1.25% +2.52% +20.73% 1.32%
東亞 (強積金) 增長基金 混合資產 25.764
2024/09/30
+19.41% +8.96% +6.83% +4.20% +13.60% 1.37%
東亞 (強積金) 環球股票基金 股票 27.688
2024/09/30
+31.13% +7.98% +4.63% +1.54% +19.06% 1.28%
東亞 (強積金) 均衡基金 混合資產 22.041
2024/09/30
+16.38% +7.23% +6.13% +3.16% +10.21% 1.35%
東亞 (強積金) 北美股票基金 股票 36.762
2024/09/30
+30.00% +7.08% +3.67% +1.36% +17.48% 1.27%
東亞(強積金)核心累積基金 混合資產 16.341
2024/09/30
+22.69% +6.50% +4.69% +1.34% +13.05% 0.78%
東亞 (強積金) 平穩基金 混合資產 19.104
2024/09/30
+12.81% +5.31% +5.33% +2.12% +6.56% 1.31%
東亞(強積金)65歲後基金 混合資產 12.022
2024/09/30
+12.74% +4.09% +4.19% +1.02% +5.70% 0.80%
東亞(強積金)環球債券基金 債券 11.044
2024/09/30
+8.27% +3.59% +4.88% +1.01% +1.59% 1.07%
東亞 (強積金) 歐洲股票基金 股票 17.116
2024/09/30
+18.55% +3.39% +3.52% -0.69% +8.85% 1.59%
東亞 (強積金) 人民幣及港幣貨幣市場基金 貨幣市場 11.184
2024/09/30
+4.51% +2.95% +2.63% +0.64% +2.63% 0.79%
東亞 (強積金) 保守基金 強積金保守 15.403
2024/09/30
+3.56% +1.73% +0.85% +0.26% +2.64% 1.17%
東亞(強積金)日本股票基金 股票 11.472
2024/09/30
+17.65% -2.22% -1.18% -1.73% +12.26% 1.70%

 東亞(強積金)享惠計劃

東亞香港追蹤指數基金 股票 12.505
2024/09/30
+22.17% +30.79% +20.21% +17.18% +27.21% 0.72%
東亞大中華股票基金 股票 18.632
2024/09/30
+22.58% +20.62% +11.91% +13.50% +23.03% 0.96%
東亞亞洲股票基金 股票 15.931
2024/09/30
+25.37% +9.84% +0.97% +2.73% +19.23% 0.97%
東亞增長基金 混合資產 17.195
2024/09/30
+20.83% +8.68% +6.37% +3.89% +14.29% 0.95%
東亞環球股票基金 股票 28.614
2024/09/30
+31.93% +8.39% +4.83% +1.57% +19.76% 0.96%
東亞均衡基金 混合資產 15.250
2024/09/30
+17.57% +7.12% +5.82% +2.93% +10.80% 0.95%
東亞核心累積基金 混合資產 16.419
2024/09/30
+22.65% +6.49% +4.69% +1.35% +13.02% 0.86%
東亞平穩基金 混合資產 13.001
2024/09/30
+13.77% +5.26% +5.08% +1.87% +7.16% 0.95%
東亞65歲後基金 混合資產 12.011
2024/09/30
+12.63% +4.04% +4.15% +1.02% +5.62% 0.85%
東亞環球債券基金 債券 9.583
2024/09/30
+8.07% +3.20% +4.93% +1.02% +1.08% 0.94%
東亞強積金保守基金 強積金保守 11.588
2024/09/30
+3.66% +1.74% +0.84% +0.26% +2.70% 1.15%

 中銀保誠簡易強積金計劃

中銀保誠中證香港100指數基金 股票 13.324
2024/09/30
+22.11% +32.39% +22.84% +19.75% +28.52% 1.01%
中銀保誠中國股票基金 股票 7.627
2024/09/30
+18.88% +30.70% +24.29% +23.81% +28.45% 1.74%
中銀保誠香港股票基金 股票 38.704
2024/09/30
+19.72% +30.09% +21.85% +19.91% +25.80% 1.68%
中銀保誠亞洲股票基金 股票 19.129
2024/09/30
+26.22% +15.08% +8.72% +6.55% +18.88% 1.73%
中銀保誠增長基金 混合資產 29.500
2024/09/30
+22.55% +12.50% +10.11% +6.48% +16.41% 1.69%
中銀保誠北美指數追蹤基金 股票 39.031
2024/09/30
+32.66% +8.78% +5.35% +1.59% +19.36% 1.04%
中銀保誠均衡基金 混合資產 23.756
2024/09/30
+15.80% +8.31% +7.82% +4.00% +9.37% 1.68%
中銀保誠環球股票基金 股票 48.095
2024/09/30
+27.69% +7.74% +5.31% +1.79% +16.37% 1.70%
中銀保誠核心累積基金 混合資產 16.092
2024/09/30
+20.33% +6.23% +4.92% +1.36% +11.15% 0.77%
中銀保誠平穩基金 混合資產 20.175
2024/09/30
+12.33% +6.14% +6.53% +2.75% +5.99% 1.67%
中銀保誠歐洲指數追蹤基金 股票 22.270
2024/09/30
+20.88% +4.71% +4.56% -0.26% +10.76% 1.05%
中銀保誠香港平穩退休基金 混合資產 11.259
2024/09/30
+9.40% +4.09% +2.97% +0.71% +5.66% N/A
中銀保誠65歲後基金 混合資產 11.781
2024/09/30
+11.63% +3.96% +3.97% +1.00% +5.02% 0.79%
中銀保誠債券基金 債券 12.180
2024/09/30
+8.11% +3.36% +4.83% +0.95% +1.85% 1.52%
中銀保誠強積金人民幣及港元貨幣市場基金 貨幣市場 11.956
2024/09/30
+5.11% +3.15% +2.80% +0.66% +2.97% 0.30%
中銀保誠強積金保守基金 強積金保守 12.994
2024/09/30
+4.11% +1.95% +1.00% +0.27% +3.00% 1.16%
中銀保誠日本股票基金 股票 12.157
2024/09/30
+17.92% -0.75% +1.16% -1.07% +11.73% 1.68%

 我的強積金計劃

我的香港追蹤指數基金 股票 13.656
2024/09/30
+23.03% +31.76% +21.12% +18.03% +28.21% 0.73%
我的香港股票基金 股票 14.692
2024/09/30
+20.71% +30.22% +21.79% +21.07% +26.57% 1.04%
我的中國股票基金 股票 22.433
2024/09/30
+20.48% +20.47% +13.48% +17.13% +19.38% 1.06%
我的增長基金 混合資產 21.609
2024/09/30
+23.27% +12.54% +9.47% +6.49% +17.05% 1.05%
我的亞洲股票基金 股票 21.144
2024/09/30
+29.32% +11.71% +4.48% +1.98% +18.48% 1.08%
我的均衡基金 混合資產 20.125
2024/09/30
+17.19% +9.91% +8.80% +5.44% +12.09% 1.04%
我的平穩基金 混合資產 16.490
2024/09/30
+14.54% +7.92% +7.59% +3.95% +8.81% 1.04%
我的環球股票基金 股票 28.684
2024/09/30
+27.17% +7.60% +4.52% +1.52% +16.84% 1.06%
我的核心累積基金 混合資產 15.760
2024/09/30
+20.67% +6.06% +4.41% +1.14% +11.25% 0.76%
我的港元債券基金 債券 12.514
2024/09/30
+9.64% +4.83% +3.77% +0.75% +4.74% 1.03%
我的65歲後基金 混合資產 11.704
2024/09/30
+11.82% +3.88% +3.82% +0.91% +5.01% 0.76%
我的環球債券基金 債券 9.236
2024/09/30
+8.94% +3.73% +5.28% +1.11% +1.62% 0.99%
我的人民幣及港元貨幣市場基金 貨幣市場 10.944
2024/09/30
+4.52% +3.08% +2.94% +0.72% +2.52% 0.94%
我的強積金保守基金 強積金保守 10.786
2024/09/30
+3.62% +1.75% +0.89% +0.26% +2.72% 1.21%

 中國人壽強積金集成信託計劃

中國人壽香港股票基金 股票 15.170
2024/09/30
+20.86% +30.29% +21.83% +21.09% +26.70% 0.87%
中國人壽大中華股票基金 股票 7.929
2024/09/30
+20.25% +20.24% +13.38% +17.06% +19.10% 1.27%
中國人壽增長基金 混合資產 32.134
2024/09/30
+22.94% +12.39% +9.39% +6.48% +16.82% 1.43%
中國人壽平衡基金 混合資產 28.363
2024/09/30
+19.41% +10.29% +8.24% +5.32% +13.30% 1.43%
中國人壽樂休閒環球股票基金 股票 16.971
2024/09/30
+26.54% +8.03% +3.54% +2.40% +15.55% 1.31%
中國人壽美國股票基金 股票 10.481
2024/09/30
+29.78% +7.63% +4.23% +1.69% +15.95% 0.94%
中國人壽核心累積基金 混合資產 15.840
2024/09/30
+21.85% +6.31% +4.63% +1.27% +12.12% 0.83%
中國人壽樂安心保證基金 保證 14.603
2024/09/30
+10.81% +4.05% +3.64% +0.86% +5.21% 2.06%
中國人壽65歲後基金 混合資產 11.700
2024/09/30
+12.41% +3.95% +3.89% +0.90% +5.30% 0.83%
中國人壽強積金保守基金 強積金保守 11.692
2024/09/30
+3.61% +1.74% +0.89% +0.29% +2.66% 0.90%

 富達退休集成信託

富達香港盈富基金 股票 12.711
2024/09/30
+22.27% +30.88% +20.22% +17.21% +27.29% 0.76%
香港股票基金 股票 31.162
2024/09/30
+20.14% +29.89% +21.69% +21.05% +26.12% 1.52%
富達「儲蓄易」2050基金 混合資產 14.833
2024/09/30
+23.61% +13.78% +9.73% +6.84% +18.02% 1.59%
富達「儲蓄易」2040基金 混合資產 32.186
2024/09/30
+23.54% +13.73% +9.60% +6.75% +17.93% 1.53%
富達「儲蓄易」2045基金 混合資產 15.055
2024/09/30
+23.51% +13.65% +9.62% +6.76% +17.79% 1.63%
富達「儲蓄易」2035基金 混合資產 31.581
2024/09/30
+23.13% +13.36% +9.44% +6.47% +17.38% 1.54%
富達「儲蓄易」2030基金 混合資產 31.092
2024/09/30
+21.89% +12.37% +8.88% +5.96% +16.13% 1.53%
增長基金 混合資產 32.651
2024/09/30
+22.80% +12.31% +9.35% +6.45% +16.68% 1.52%
亞太股票基金 股票 30.636
2024/09/30
+28.78% +11.43% +4.31% +1.95% +18.14% 1.54%
均衡基金 混合資產 29.183
2024/09/30
+19.30% +10.25% +8.20% +5.33% +13.19% 1.52%
美洲股票基金 股票 12.457
2024/09/30
+31.28% +9.31% +3.62% +0.61% +20.18% N/A
環球股票基金 股票 40.599
2024/09/30
+27.85% +8.75% +5.03% +2.09% +17.14% 1.51%
平穩增長基金 混合資產 25.542
2024/09/30
+16.39% +8.08% +7.12% +4.04% +9.90% 1.51%
富達「儲蓄易」2025基金 混合資產 28.688
2024/09/30
+14.57% +7.49% +6.08% +3.41% +9.08% 1.29%
富達「儲蓄易」2020基金 混合資產 26.108
2024/09/30
+13.06% +6.26% +5.31% +2.69% +7.37% 1.29%
核心累積基金 混合資產 15.630
2024/09/30
+20.52% +6.25% +4.98% +1.44% +11.30% 0.80%
資本穩定基金 混合資產 21.459
2024/09/30
+13.49% +6.11% +5.89% +2.78% +7.03% 1.52%
退休易基金 混合資產 9.422
2024/09/30
+15.92% +5.71% +5.20% +2.10% +8.24% 1.27%
歐洲股票基金 股票 11.578
2024/09/30
+19.50% +5.18% +4.58% -0.28% +10.32% N/A
香港債券基金 債券 13.756
2024/09/30
+9.70% +4.70% +3.88% +0.72% +4.94% 1.26%
人民幣債券基金 債券 11.023
2024/09/30
+6.50% +4.35% +4.06% +1.02% +4.07% 1.32%
65歲後基金 混合資產 11.583
2024/09/30
+11.57% +3.95% +4.03% +1.02% +4.96% 0.81%
國際債券基金 債券 13.257
2024/09/30
+8.41% +3.47% +5.16% +1.11% +1.25% 1.50%
強積金保守基金 強積金保守 11.826
2024/09/30
+3.70% +1.72% +0.81% +0.27% +2.67% 1.13%

 海通MPF退休金

香港特區基金 - T類別 股票 71.250
2024/09/30
+10.59% +21.75% +13.38% +14.33% +20.52% 1.63%
香港特區基金 - A類別 股票 64.000
2024/09/30
+10.50% +21.70% +13.35% +14.33% +20.44% 1.72%
亞太基金 - T類別 股票 22.830
2024/09/30
+23.47% +11.37% +4.82% +4.72% +19.22% 1.82%
亞太基金 - A類別 股票 19.860
2024/09/30
+23.43% +11.32% +4.80% +4.75% +19.14% 1.87%
環球分散基金 - T類別 股票 34.510
2024/09/30
+35.39% +6.48% +1.50% +1.80% +21.94% 1.25%
環球分散基金 - A類別 股票 30.270
2024/09/30
+35.25% +6.43% +1.48% +1.82% +21.86% 1.35%
海通核心累積基金 - T類別 混合資產 16.920
2024/09/30
+25.71% +5.62% +2.55% +1.50% +15.42% 0.92%
海通核心累積基金 - A類別 混合資產 16.800
2024/09/30
+25.65% +5.59% +2.50% +1.51% +15.38% 0.91%
海通65歲後基金 - T類別 混合資產 12.370
2024/09/30
+14.64% +4.39% +3.60% +1.14% +7.75% 0.92%
海通65歲後基金 - A類別 混合資產 12.370
2024/09/30
+14.64% +4.39% +3.60% +1.14% +7.75% 0.92%
強積金保守基金 - T類別 強積金保守 12.290
2024/09/30
+3.71% +1.74% +0.90% +0.24% +2.76% 1.24%
強積金保守基金 - A類別 強積金保守 12.050
2024/09/30
+3.70% +1.69% +0.84% +0.25% +2.73% 1.28%
韓國基金 - T類別 股票 31.260
2024/09/30
+13.47% -2.68% -4.26% -1.70% +3.92% 1.72%
韓國基金 - A類別 股票 28.410
2024/09/30
+13.46% -2.71% -4.25% -1.70% +3.91% 1.72%

 恒生強積金智選計劃

恒生中國企業指數基金 股票 7.680
2024/09/30
+25.70% +33.33% +20.94% +19.25% +34.03% 0.90%
恒指基金 股票 24.010
2024/09/30
+22.63% +31.42% +20.84% +17.93% +27.85% 0.80%
中港股票基金 股票 22.370
2024/09/30
+19.37% +27.76% +18.86% +17.86% +26.10% 1.52%
中國股票基金 股票 13.770
2024/09/30
+18.91% +25.41% +17.09% +18.50% +28.33% 1.53%
智優逸亞太股票追蹤指數基金 股票 15.270
2024/09/30
+27.14% +16.65% +9.78% +7.08% +19.67% 0.90%
亞太股票基金 股票 34.260
2024/09/30
+27.55% +16.06% +7.26% +6.63% +20.38% 1.53%
增長基金 混合資產 25.700
2024/09/30
+21.57% +12.18% +9.55% +6.24% +16.34% 1.52%
智優逸均衡基金 混合資產 16.920
2024/09/30
+19.58% +11.02% +8.95% +5.42% +13.56% 0.97%
均衡基金 混合資產 24.050
2024/09/30
+18.65% +10.37% +8.58% +5.25% +13.23% 1.42%
智優逸北美股票追蹤指數基金 股票 43.990
2024/09/30
+32.82% +8.83% +5.39% +1.62% +19.57% 0.81%
北美股票基金 股票 32.500
2024/09/30
+30.84% +7.83% +5.04% +1.15% +18.61% 1.31%
環球股票基金 股票 25.530
2024/09/30
+27.78% +7.40% +4.76% +1.23% +16.15% 0.81%
平穩基金 混合資產 12.850
2024/09/30
+12.52% +6.20% +6.37% +2.88% +6.37% 1.32%
核心累積基金 混合資產 26.530
2024/09/30
+19.83% +5.82% +4.78% +1.22% +10.54% 0.77%
智優逸歐洲股票追蹤指數基金 股票 20.370
2024/09/30
+21.32% +4.78% +4.52% -0.20% +11.19% 0.94%
65歲後基金 混合資產 13.500
2024/09/30
+11.94% +3.93% +4.17% +1.05% +4.81% 0.78%
保證基金 保證 10.320
2024/09/30
+5.52% +3.61% +2.69% +1.18% +3.41% 2.06%
環球債券基金 債券 11.580
2024/09/30
+9.14% +3.49% +5.08% +1.05% +1.58% 0.83%
歐洲股票基金 股票 17.810
2024/09/30
+16.18% +2.36% +2.95% -0.45% +7.22% 1.34%
強積金保守基金 強積金保守 13.770
2024/09/30
+4.08% +1.92% +0.95% +0.29% +2.99% 1.20%

 滙豐強積金智選計劃

恒生中國企業指數基金 股票 7.680
2024/09/30
+25.70% +33.33% +20.94% +19.25% +34.03% 0.90%
恒指基金 股票 24.010
2024/09/30
+22.63% +31.42% +20.84% +17.93% +27.85% 0.80%
中港股票基金 股票 22.370
2024/09/30
+19.37% +27.76% +18.86% +17.86% +26.10% 1.52%
中國股票基金 股票 13.770
2024/09/30
+18.91% +25.41% +17.09% +18.50% +28.33% 1.53%
智優逸亞太股票追蹤指數基金 股票 15.270
2024/09/30
+27.14% +16.65% +9.78% +7.08% +19.67% 0.90%
亞太股票基金 股票 34.260
2024/09/30
+27.55% +16.06% +7.26% +6.63% +20.38% 1.53%
增長基金 混合資產 25.700
2024/09/30
+21.57% +12.18% +9.55% +6.24% +16.34% 1.52%
智優逸均衡基金 混合資產 16.920
2024/09/30
+19.58% +11.02% +8.95% +5.42% +13.56% 0.97%
均衡基金 混合資產 24.050
2024/09/30
+18.65% +10.37% +8.58% +5.25% +13.23% 1.42%
智優逸北美股票追蹤指數基金 股票 43.990
2024/09/30
+32.82% +8.83% +5.39% +1.62% +19.57% 0.81%
北美股票基金 股票 32.500
2024/09/30
+30.84% +7.83% +5.04% +1.15% +18.61% 1.31%
環球股票基金 股票 25.530
2024/09/30
+27.78% +7.40% +4.76% +1.23% +16.15% 0.81%
平穩基金 混合資產 12.850
2024/09/30
+12.52% +6.20% +6.37% +2.88% +6.37% 1.32%
核心累積基金 混合資產 26.530
2024/09/30
+19.83% +5.82% +4.78% +1.22% +10.54% 0.77%
智優逸歐洲股票追蹤指數基金 股票 20.370
2024/09/30
+21.32% +4.78% +4.52% -0.20% +11.19% 0.94%
65歲後基金 混合資產 13.500
2024/09/30
+11.94% +3.93% +4.17% +1.05% +4.81% 0.77%
保證基金 保證 10.320
2024/09/30
+5.52% +3.61% +2.69% +1.18% +3.41% 2.06%
環球債券基金 債券 11.580
2024/09/30
+9.14% +3.49% +5.08% +1.05% +1.58% 0.83%
歐洲股票基金 股票 17.810
2024/09/30
+16.18% +2.36% +2.95% -0.45% +7.22% 1.34%
強積金保守基金 強積金保守 13.770
2024/09/30
+4.08% +1.92% +0.95% +0.29% +2.99% 1.20%

 宏利環球精選(強積金)計劃

宏利MPF 恒指 ESG 基金 股票 12.625
2024/09/30
+11.31% +30.22% +25.25% +23.10% +18.60% 0.99%
宏利MPF香港股票基金 股票 20.070
2024/09/30
+16.24% +26.49% +19.12% +18.51% +23.02% 1.78%
宏利MPF中華威力基金 股票 24.380
2024/09/30
+18.61% +20.92% +12.90% +15.16% +19.54% 1.98%
宏利MPF 2040退休基金 混合資產 18.268
2024/09/30
+24.83% +14.82% +10.43% +7.65% +18.86% 1.08%
宏利MPF 2045退休基金 混合資產 18.444
2024/09/30
+24.76% +14.78% +10.43% +7.65% +18.79% 1.05%
宏利MPF亞太股票基金 股票 33.913
2024/09/30
+26.15% +14.45% +7.50% +5.90% +19.93% 1.81%
宏利MPF 2035退休基金 混合資產 17.927
2024/09/30
+23.24% +13.40% +9.69% +6.80% +16.99% 1.07%
宏利MPF富達增長基金 混合資產 33.917
2024/09/30
+22.44% +12.13% +9.27% +6.43% +16.42% 1.79%
宏利MPF進取基金 混合資產 24.218
2024/09/30
+22.25% +11.98% +9.43% +6.45% +15.81% 1.80%
宏利MPF 2030退休基金 混合資產 17.062
2024/09/30
+21.13% +11.86% +8.56% +5.63% +14.81% 1.07%
宏利MPF增長基金 混合資產 22.701
2024/09/30
+18.73% +10.29% +8.31% +5.30% +12.92% 1.79%
宏利MPF 2025退休基金 混合資產 15.418
2024/09/30
+17.38% +9.42% +6.86% +4.04% +11.58% 1.07%
宏利MPF北美股票基金 股票 31.915
2024/09/30
+34.48% +8.87% +4.54% +1.29% +19.01% 1.77%
宏利 MPF 智優裕退休基金 混合資產 13.684
2024/09/30
+16.00% +8.44% +6.23% +3.34% +10.07% 1.06%
宏利MPF穩健基金 保證 16.189
2024/09/30
+13.06% +8.28% +6.49% +3.38% +8.22% 1.78%
宏利MPF國際股票基金 股票 25.452
2024/09/30
+29.84% +8.27% +5.37% +1.88% +16.43% 1.79%
宏利MPF富達平穩增長基金 混合資產 23.074
2024/09/30
+16.05% +7.91% +7.04% +4.02% +9.65% 1.79%
宏利MPF日本股票基金 股票 20.747
2024/09/30
+29.17% +7.17% +5.51% +0.10% +20.22% 1.76%
宏利MPF核心累積基金 混合資產 15.857
2024/09/30
+20.31% +6.28% +5.04% +1.41% +11.05% 0.75%
宏利MPF香港債券基金 債券 15.393
2024/09/30
+9.90% +5.42% +4.01% +0.66% +4.61% 1.18%
宏利 MPF 人民幣債券基金 債券 11.857
2024/09/30
+7.65% +4.65% +4.39% +1.12% +4.72% 1.21%
宏利MPF退休收益基金 混合資產 9.016
2024/09/30
+9.23% +4.58% +4.38% +1.88% +4.89% 1.36%
宏利 MPF 可持續亞太債券基金 債券 11.648
2024/09/30
+9.55% +4.26% +4.24% +1.01% +4.63% 1.26%
宏利MPF國際債券基金 債券 15.534
2024/09/30
+9.13% +4.00% +5.37% +1.14% +1.85% 1.18%
宏利MPF 65歲後基金 混合資產 11.708
2024/09/30
+11.30% +3.74% +4.01% +1.04% +4.68% 0.76%
宏利MPF康健護理基金 股票 32.233
2024/09/30
+17.25% +2.49% +2.27% -4.47% +10.56% 1.91%
宏利MPF保守基金 強積金保守 12.187
2024/09/30
+4.06% +1.96% +1.00% +0.27% +2.99% 1.01%
宏利MPF歐洲股票基金 股票 17.307
2024/09/30
+23.14% +0.79% +2.20% +0.03% +7.08% 1.80%
宏利MPF利息基金 保證 N/A
N/A N/A N/A N/A N/A 1.76%

 萬全強制性公積金計劃

香港股票基金 股票 13.001
2024/09/30
+16.15% +27.41% +19.52% +19.76% +24.75% 1.49%
大中華股票基金 股票 17.411
2024/09/30
+19.99% +20.25% +13.38% +17.12% +19.00% 1.55%
亞太股票基金 股票 16.920
2024/09/30
+25.49% +16.83% +9.54% +7.66% +19.28% 1.75%
環球增值基金 混合資產 27.616
2024/09/30
+18.90% +10.31% +8.78% +5.47% +13.70% 1.52%
美國股票基金 股票 39.308
2024/09/30
+32.68% +8.85% +5.40% +1.73% +19.40% 1.09%
環球均衡基金 混合資產 23.469
2024/09/30
+15.90% +8.40% +7.80% +4.27% +10.32% 1.52%
環球證券基金 股票 41.172
2024/09/30
+28.78% +7.83% +4.91% +1.39% +16.65% 1.64%
核心累積基金 混合資產 15.856
2024/09/30
+21.83% +6.32% +4.64% +1.27% +12.13% 0.84%
保證基金 保證 10.645
2024/09/30
+10.53% +5.41% +6.29% +3.01% +5.47% 3.37%
歐洲股票基金 股票 14.950
2024/09/30
+23.85% +4.52% +2.58% -1.24% +12.86% 1.71%
亞洲債券基金 債券 26.836
2024/09/30
+9.95% +4.34% +4.10% +0.85% +4.35% 1.64%
環球債券基金 債券 12.268
2024/09/30
+10.38% +4.00% +6.23% +1.38% +2.41% 1.56%
65歲後基金 混合資產 11.789
2024/09/30
+12.37% +3.92% +3.87% +0.88% +5.28% 0.85%
強積金保守基金 強積金保守 11.751
2024/09/30
+3.61% +1.70% +0.86% +0.27% +2.62% 0.91%

 信安強積金計劃800系列

信安恒指基金 - N類單位 股票 13.290
2024/09/30
+21.97% +30.85% +20.21% +17.22% +27.19% 0.95%
信安中國股票基金 - D類單位 股票 13.116
2024/09/30
+15.96% +27.90% +20.22% +21.08% +26.09% 1.33%
信安中國股票基金 - I類單位 股票 12.537
2024/09/30
+15.74% +27.77% +20.16% +21.06% +25.91% 1.52%
信安香港股票基金 - D類單位 股票 23.797
2024/09/30
+16.00% +27.75% +19.05% +19.26% +23.45% 1.30%
信安香港股票基金 - I類單位 股票 23.264
2024/09/30
+15.88% +27.69% +19.02% +19.25% +23.36% 1.40%
信安亞洲股票基金 - D類單位 股票 50.454
2024/09/30
+25.06% +13.92% +5.53% +5.62% +17.56% 1.35%
信安亞洲股票基金 - I類單位 股票 48.231
2024/09/30
+24.82% +13.81% +5.48% +5.60% +17.39% 1.54%
信安進取策略基金 - D類單位 混合資產 27.596
2024/09/30
+22.01% +11.50% +8.28% +5.74% +16.21% 1.32%
信安進取策略基金 - I類單位 混合資產 27.157
2024/09/30
+21.77% +11.38% +8.23% +5.73% +16.04% 1.52%
信安環球增長基金 - D類單位 混合資產 28.949
2024/09/30
+19.27% +9.94% +7.84% +4.86% +13.17% 1.32%
信安環球增長基金 - I類單位 混合資產 28.124
2024/09/30
+19.03% +9.83% +7.78% +4.84% +13.00% 1.52%
信安美國股票基金 - D類單位 股票 34.967
2024/09/30
+32.58% +8.30% +4.86% +1.46% +19.76% 1.31%
信安長線增值基金 - D類單位 混合資產 22.105
2024/09/30
+16.70% +8.23% +7.38% +3.84% +10.09% 1.32%
信安美國股票基金 - I類單位 股票 33.440
2024/09/30
+32.33% +8.19% +4.81% +1.45% +19.58% 1.50%
信安長線增值基金 - I類單位 混合資產 21.475
2024/09/30
+16.47% +8.12% +7.32% +3.82% +9.92% 1.52%
信安平穩回報基金 - D類單位 混合資產 19.346
2024/09/30
+13.76% +6.48% +6.65% +2.78% +7.07% 1.32%
信安平穩回報基金 - I類單位 混合資產 18.797
2024/09/30
+13.53% +6.37% +6.60% +2.76% +6.90% 1.52%
信安核心累積基金 - N類單位 混合資產 15.681
2024/09/30
+20.09% +5.82% +4.40% +1.08% +10.97% 0.82%
信安香港債券基金 - N類單位 債券 11.721
2024/09/30
+9.68% +5.16% +3.76% +0.74% +4.73% 1.05%
信安亞洲債券基金 - N類單位 債券 9.887
2024/09/30
+10.67% +4.65% +4.26% +0.89% +4.83% 1.04%
信安國際債券基金 - D類單位 債券 16.558
2024/09/30
+10.74% +4.18% +6.36% +1.42% +2.67% 1.32%
信安國際債券基金 - I類單位 債券 16.378
2024/09/30
+10.74% +4.18% +6.36% +1.42% +2.67% 1.32%
信安65歲後基金 - N類單位 混合資產 11.943
2024/09/30
+11.86% +4.06% +3.93% +0.88% +5.34% 0.81%
信安國際股票基金 - D類單位 股票 28.614
2024/09/30
+25.30% +3.20% +0.81% -0.67% +14.45% 1.34%
信安國際股票基金 - I類單位 股票 27.358
2024/09/30
+25.06% +3.10% +0.76% -0.69% +14.29% 1.53%
信安港元儲蓄基金 - D類單位 其他 12.025
2024/09/30
+5.31% +2.95% +2.03% +0.44% +3.75% 1.00%
信安港元儲蓄基金 - I類單位 其他 11.952
2024/09/30
+5.27% +2.93% +2.02% +0.43% +3.72% 1.04%
信安強積金保守基金 - N類單位 強積金保守 12.258
2024/09/30
+3.80% +1.80% +0.92% +0.28% +2.76% 1.00%

 宏利退休精選(強積金)計劃

安聯香港基金 - 單位T 股票 59.590
2024/09/30
+16.30% +27.43% +19.52% +19.73% +24.87% 1.20%
安聯香港基金 - 單位B 股票 58.404
2024/09/30
+16.26% +27.41% +19.51% +19.72% +24.84% 1.23%
安聯香港基金 - 單位A 股票 53.036
2024/09/30
+16.03% +27.28% +19.45% +19.70% +24.65% 1.43%
安聯大中華基金 - 單位T 股票 30.672
2024/09/30
+16.57% +20.72% +12.35% +13.51% +18.48% 1.24%
安聯大中華基金 - 單位B 股票 31.810
2024/09/30
+16.54% +20.70% +12.34% +13.51% +18.45% 1.27%
安聯大中華基金 - 單位A 股票 26.075
2024/09/30
+16.31% +20.58% +12.28% +13.49% +18.27% 1.47%
安聯亞洲基金 - 單位T 股票 69.973
2024/09/30
+19.99% +13.53% +5.88% +7.30% +12.23% 1.21%
安聯亞洲基金 - 單位B 股票 69.086
2024/09/30
+19.96% +13.52% +5.87% +7.30% +12.20% 1.24%
安聯亞洲基金 - 單位A 股票 62.930
2024/09/30
+19.72% +13.40% +5.82% +7.28% +12.03% 1.44%
安聯增長基金 - 單位T 混合資產 50.557
2024/09/30
+22.51% +12.35% +9.65% +6.55% +17.40% 1.24%
安聯增長基金 - 單位B 混合資產 49.472
2024/09/30
+22.47% +12.34% +9.64% +6.55% +17.37% 1.27%
安聯增長基金 - 單位A 混合資產 47.728
2024/09/30
+22.22% +12.22% +9.59% +6.53% +17.19% 1.47%
安聯均衡基金 - 單位T 混合資產 44.497
2024/09/30
+19.26% +10.49% +8.83% +5.48% +13.97% 1.24%
安聯均衡基金 - 單位B 混合資產 43.833
2024/09/30
+19.22% +10.48% +8.82% +5.47% +13.94% 1.27%
安聯均衡基金 - 單位A 混合資產 42.509
2024/09/30
+18.98% +10.37% +8.77% +5.46% +13.77% 1.47%
安聯穩定增長基金 - 單位T 混合資產 39.483
2024/09/30
+16.21% +8.54% +7.85% +4.28% +10.55% 1.24%
安聯穩定增長基金 - 單位B 混合資產 38.217
2024/09/30
+16.18% +8.52% +7.84% +4.28% +10.52% 1.27%
安聯穩定增長基金 - 單位A 混合資產 36.733
2024/09/30
+15.95% +8.41% +7.79% +4.26% +10.35% 1.47%
安聯東方太平洋基金 - 單位T 混合資產 49.235
2024/09/30
+22.56% +6.59% +5.83% +4.49% +11.78% 1.36%
安聯東方太平洋基金 - 單位B 混合資產 49.128
2024/09/30
+22.52% +6.57% +5.82% +4.48% +11.75% 1.39%
安聯穩定資本基金 - 單位T 混合資產 33.022
2024/09/30
+12.90% +6.56% +6.86% +3.19% +7.17% 1.25%
安聯穩定資本基金 - 單位B 混合資產 32.066
2024/09/30
+12.87% +6.55% +6.85% +3.19% +7.15% 1.28%
安聯東方太平洋基金 - 單位A 混合資產 42.527
2024/09/30
+22.27% +6.47% +5.77% +4.47% +11.59% 1.59%
安聯穩定資本基金 - 單位A 混合資產 30.889
2024/09/30
+12.64% +6.44% +6.80% +3.17% +6.99% 1.48%
安聯強積金核心累積基金 - 單位B 混合資產 16.085
2024/09/30
+21.24% +6.36% +4.32% +1.38% +12.47% 0.79%
安聯強積金核心累積基金 - 單位A 混合資產 15.706
2024/09/30
+21.23% +6.36% +4.32% +1.37% +12.46% 0.79%
安聯強積金核心累積基金 - 單位T 混合資產 16.085
2024/09/30
+21.24% +6.36% +4.32% +1.38% +12.47% 0.79%
安聯強積金65歲後基金 - 單位T 混合資產 11.736
2024/09/30
+12.11% +4.43% +4.27% +1.21% +5.66% 0.78%
安聯強積金65歲後基金 - 單位B 混合資產 11.736
2024/09/30
+12.11% +4.43% +4.27% +1.21% +5.66% 0.77%
安聯強積金65歲後基金 - 單位A 混合資產 11.510
2024/09/30
+12.10% +4.43% +4.27% +1.21% +5.66% 0.77%
安聯靈活均衡基金 - 單位T 混合資產 28.895
2024/09/30
+8.67% +3.46% +2.29% +0.21% +5.04% 1.23%
安聯靈活均衡基金 - 單位B 混合資產 28.414
2024/09/30
+8.64% +3.44% +2.28% +0.21% +5.01% 1.26%
安聯靈活均衡基金 - 單位A 混合資產 27.296
2024/09/30
+8.42% +3.33% +2.23% +0.19% +4.86% 1.47%
安聯人民幣貨幣市場基金 - 單位T 貨幣市場 15.531
2024/09/30
+4.27% +2.94% +2.86% +0.70% +2.32% 1.19%
安聯人民幣貨幣市場基金 - 單位A 貨幣市場 15.478
2024/09/30
+4.24% +2.93% +2.85% +0.69% +2.30% 1.22%
安聯人民幣貨幣市場基金 - 單位B 貨幣市場 15.487
2024/09/30
+4.24% +2.93% +2.85% +0.69% +2.30% 1.22%
安聯強積金保守基金 - 單位T 強積金保守 18.203
2024/09/30
+3.55% +1.68% +0.85% +0.26% +2.58% 1.53%
安聯強積金保守基金 - 單位B 強積金保守 17.839
2024/09/30
+3.52% +1.67% +0.84% +0.26% +2.56% 1.61%
安聯強積金保守基金 - 單位A 強積金保守 17.830
2024/09/30
+3.52% +1.66% +0.84% +0.26% +2.56% 1.68%

 新地強積金僱主營辦計劃

安聯精選均衡基金 混合資產 41.280
2024/09/30
+19.41% +10.58% +8.86% +5.47% +14.10% 0.97%
富達均衡基金 混合資產 243.790
2024/09/30
+19.75% +10.48% +8.30% +5.31% +13.58% 0.97%
安聯精選穩定增長基金 混合資產 26.800
2024/09/30
+16.37% +8.59% +7.89% +4.28% +10.70% 0.98%
富達穩定增長基金 混合資產 215.220
2024/09/30
+16.92% +8.36% +7.21% +4.08% +10.31% 0.99%
新地強積金基金 混合資產 34.805
2024/09/30
+19.59% +8.29% +9.05% +6.89% +10.20% 0.67%
景順環球穩定基金 混合資產 12.228
2024/09/30
+13.79% +6.88% +6.93% +2.53% +6.79% 0.84%
施羅德強積金核心累積基金 混合資產 15.793
2024/09/30
+20.68% +6.12% +4.44% +1.15% +11.32% 0.61%
施羅德強積金65歲後基金 混合資產 11.748
2024/09/30
+11.78% +3.88% +3.78% +0.90% +5.03% 0.64%
宏利在職平均回報保證基金 - 新地 保證 12.803
2024/09/30
+7.25% +3.79% +2.87% +0.45% +3.49% 2.29%
景順強積金保守基金 強積金保守 12.230
2024/09/30
+3.94% +1.88% +0.97% +0.27% +2.86% 0.99%

 永明彩虹強積金計劃

永明富時強積金香港指數基金 - B 股票 1.144
2024/09/30
+20.62% +30.84% +22.57% +20.79% +26.66% 0.93%
永明富時強積金香港指數基金 - A 股票 1.144
2024/09/30
+20.62% +30.84% +22.57% +20.79% +26.66% 0.93%
永明強積金香港股票基金 - B 股票 6.031
2024/09/30
+12.69% +24.16% +18.45% +18.43% +18.86% 1.57%
永明強積金香港股票基金 - A 股票 5.763
2024/09/30
+12.46% +24.03% +18.39% +18.41% +18.68% 1.77%
永明強積金大中華股票基金 - B 股票 1.396
2024/09/30
+18.86% +19.04% +11.23% +13.38% +18.97% 1.90%
永明強積金大中華股票基金 - A 股票 1.352
2024/09/30
+18.63% +18.91% +11.18% +13.36% +18.79% 2.10%
永明強積金美國及香港股票基金 股票 1.250
2024/09/30
N/A +15.35% +9.93% +6.75% +21.35% 0.10%
永明強積金亞洲股票基金 - B 股票 1.778
2024/09/30
+18.94% +11.36% +4.66% +5.11% +13.08% 1.76%
永明強積金亞洲股票基金 - A 股票 1.720
2024/09/30
+18.70% +11.24% +4.60% +5.10% +12.91% 1.96%
永明強積金美國股票基金 股票 1.289
2024/09/30
+32.06% +7.16% +3.24% +1.75% +18.37% 0.81%
永明強積金環球低碳指數基金 股票 1.211
2024/09/30
+25.12% +6.86% +5.36% +1.12% +14.27% 0.71%
永明強積金增長基金 - B 混合資產 3.333
2024/09/30
+15.28% +6.49% +4.80% +3.36% +9.23% 1.65%
永明強積金增長基金 - A 混合資產 3.185
2024/09/30
+15.05% +6.38% +4.75% +3.34% +9.07% 1.85%
永明強積金核心累積基金 混合資產 1.559
2024/09/30
+20.68% +6.10% +4.43% +1.14% +11.28% 0.76%
永明強積金均衡基金 - B 混合資產 2.769
2024/09/30
+13.55% +5.72% +4.90% +2.69% +7.12% 1.65%
永明強積金均衡基金 - A 混合資產 2.646
2024/09/30
+13.32% +5.62% +4.85% +2.67% +6.96% 1.85%
永明強積金港元債券基金 - B 債券 1.502
2024/09/30
+9.06% +4.83% +3.54% +0.65% +4.07% 1.61%
永明強積金平穩基金 - B 混合資產 2.248
2024/09/30
+11.53% +4.77% +4.87% +2.01% +4.82% 1.64%
永明強積金港元債券基金 - A 債券 1.436
2024/09/30
+8.86% +4.74% +3.50% +0.64% +3.93% 1.81%
永明強積金行業股票基金 - B 股票 2.167
2024/09/30
+23.65% +4.74% +3.17% +1.12% +12.28% 1.62%
永明強積金平穩基金 - A 混合資產 2.148
2024/09/30
+11.31% +4.66% +4.82% +1.99% +4.66% 1.84%
永明強積金行業股票基金 - A 股票 2.096
2024/09/30
+23.40% +4.64% +3.12% +1.11% +12.12% 1.82%
永明強積金65歲後基金 混合資產 1.166
2024/09/30
+11.82% +3.87% +3.79% +0.90% +4.99% 0.75%
永明強積金歐洲股票基金 股票 1.143
2024/09/30
+19.64% +3.65% +3.23% -0.74% +10.34% 0.71%
永明強積金環球債券基金 - B 債券 0.953
2024/09/30
+8.94% +3.55% +4.95% +1.01% +1.66% 1.62%
永明強積金環球債券基金 - A 債券 0.925
2024/09/30
+8.72% +3.46% +4.89% +0.98% +1.51% 1.82%
永明強積金人民幣及港元基金 - B 貨幣市場 1.096
2024/09/30
+4.67% +3.19% +3.17% +0.71% +2.60% 1.19%
永明強積金人民幣及港元基金 - A 貨幣市場 1.091
2024/09/30
+4.62% +3.17% +3.16% +0.70% +2.56% 1.24%
永明強積金保守基金 - B 強積金保守 1.211
2024/09/30
+3.85% +1.80% +0.88% +0.28% +2.80% 0.89%
永明強積金保守基金 - A 強積金保守 1.206
2024/09/30
+3.85% +1.80% +0.89% +0.28% +2.80% 0.89%

 信安強積金 - 易富之選

信安動力香港股票基金 股票 23.170
2024/09/30
+15.56% +27.03% +18.34% +17.91% +21.76% 1.66%
信安動力亞太股票基金 股票 18.310
2024/09/30
+31.35% +14.87% +8.15% +5.96% +21.50% 1.87%
信安增長基金 混合資產 23.000
2024/09/30
+22.08% +11.54% +8.39% +5.80% +16.16% 1.74%
信安均衡基金 混合資產 19.710
2024/09/30
+18.73% +9.87% +7.59% +4.73% +12.95% 1.74%
信安動力環球股票基金 股票 19.140
2024/09/30
+26.42% +6.63% +3.91% +1.54% +16.07% 1.84%
信安平穩基金 混合資產 13.530
2024/09/30
+12.28% +6.12% +5.70% +2.50% +6.70% 1.72%
信安核心累積基金 混合資產 15.350
2024/09/30
+20.02% +5.86% +4.42% +1.05% +10.99% 0.87%
信安65歲後基金 混合資產 11.760
2024/09/30
+11.68% +4.07% +3.98% +0.94% +5.38% 0.97%
信安動力環球債券基金 債券 9.880
2024/09/30
+8.69% +3.89% +5.56% +1.23% +1.75% 1.60%
信安 - 強積金保守基金 強積金保守 11.480
2024/09/30
+3.80% +1.95% +0.97% +0.35% +2.87% 1.16%

 信安強積金 - 明智之選

信安 - 恒指基金 股票 10.970
2024/09/30
+21.48% +30.29% +19.89% +16.95% +26.67% 1.09%
信安動力香港股票基金 股票 10.070
2024/09/30
+15.48% +26.83% +18.19% +17.78% +21.62% 1.65%
信安動力大中華股票基金 股票 19.700
2024/09/30
+16.29% +18.89% +11.30% +13.35% +17.33% 1.47%
信安動力亞太股票基金 股票 16.520
2024/09/30
+31.32% +14.80% +8.12% +5.90% +21.47% 1.85%
信安增長基金 混合資產 24.150
2024/09/30
+22.09% +11.55% +8.39% +5.78% +16.16% 1.74%
信安均衡基金 混合資產 21.800
2024/09/30
+18.74% +9.88% +7.60% +4.76% +12.95% 1.72%
信安動力環球股票基金 股票 21.160
2024/09/30
+26.40% +6.65% +3.93% +1.58% +16.07% 1.81%
信安平穩基金 混合資產 17.170
2024/09/30
+12.22% +6.18% +5.73% +2.51% +6.71% 1.70%
信安核心累積基金 混合資產 15.540
2024/09/30
+20.00% +5.79% +4.44% +1.11% +11.00% 0.84%
信安動力亞洲債券基金 債券 10.110
2024/09/30
+9.42% +4.33% +4.12% +0.90% +3.59% 1.43%
信安65歲後基金 混合資產 11.890
2024/09/30
+11.85% +4.02% +3.84% +0.85% +5.31% 0.84%
信安動力環球債券基金 債券 8.730
2024/09/30
+8.99% +3.80% +5.56% +1.16% +1.75% 1.56%
信安流动基金 貨幣市場 12.270
2024/09/30
+4.78% +2.76% +1.74% +0.41% +3.63% 1.00%
信安 - 強積金保守基金 強積金保守 11.820
2024/09/30
+3.78% +1.98% +1.03% +0.34% +2.87% 1.01%

 BCT強積金策略計劃

景順恒指基金 - 單位類別 H 股票 11.021
2024/09/30
+22.37% +31.08% +20.34% +17.27% +27.49% 0.79%
景順恒指基金 - 單位類別 A 股票 10.970
2024/09/30
+22.32% +31.05% +20.33% +17.26% +27.45% 0.83%
景順中港股票基金 - 單位類別 H 股票 32.944
2024/09/30
+13.77% +24.27% +18.39% +18.98% +21.82% 1.14%
景順中港股票基金 - 單位類別 A 股票 33.027
2024/09/30
+13.63% +24.19% +18.36% +18.96% +21.70% 1.26%
景順亞洲股票基金 - 單位類別 H 股票 11.882
2024/09/30
+19.61% +13.26% +6.50% +4.70% +13.52% 1.20%
景順亞洲股票基金 - 單位類別 A 股票 11.938
2024/09/30
+19.49% +13.19% +6.48% +4.69% +13.43% 1.32%
景順增長基金 - 單位類別 H 股票 28.614
2024/09/30
+20.07% +10.81% +8.97% +5.04% +14.11% 1.17%
景順增長基金 - 單位類別 A 股票 27.482
2024/09/30
+19.93% +10.74% +8.94% +5.03% +14.00% 1.29%
景順均衡基金 - 單位類別 H 混合資產 26.530
2024/09/30
+17.48% +9.22% +8.14% +4.05% +11.14% 1.16%
景順均衡基金 - 單位類別 A 混合資產 25.023
2024/09/30
+17.34% +9.15% +8.11% +4.04% +11.04% 1.28%
景順美國追蹤指數基金 - 單位類別 H 股票 12.865
2024/09/30
+31.12% +7.90% +4.27% +2.19% +18.50% N/A
景順美國追蹤指數基金 - 單位類別 A 股票 12.865
2024/09/30
+31.12% +7.90% +4.27% +2.19% +18.50% N/A
景順環球追蹤指數基金 - 單位類別 A 股票 12.475
2024/09/30
+28.84% +7.41% +4.73% +1.67% +16.05% N/A
景順環球追蹤指數基金 - 單位類別 H 股票 12.475
2024/09/30
+28.84% +7.41% +4.73% +1.67% +16.05% N/A
景順資本穩定基金 - 單位類別 H 混合資產 22.482
2024/09/30
+13.38% +6.64% +6.76% +2.40% +6.47% 1.15%
景順資本穩定基金 - 單位類別 A 混合資產 21.626
2024/09/30
+13.25% +6.57% +6.73% +2.39% +6.37% 1.27%
景順核心累積基金 - 單位類別 H 混合資產 15.977
2024/09/30
+21.95% +6.37% +4.68% +1.27% +12.20% 0.80%
景順核心累積基金 - 單位類別 A 混合資產 15.977
2024/09/30
+21.95% +6.37% +4.68% +1.27% +12.20% 0.80%
景順環球債券基金 - 單位類別 H 債券 15.778
2024/09/30
+10.26% +4.64% +5.67% +1.11% +2.98% 1.14%
景順環球債券基金 - 單位類別 A 債券 15.351
2024/09/30
+10.13% +4.58% +5.64% +1.10% +2.88% 1.26%
景順人民幣債券基金 - 單位類別 H 債券 10.724
2024/09/30
+6.72% +4.27% +4.09% +1.28% +4.01% 1.13%
景順人民幣債券基金 - 單位類別 A 債券 10.574
2024/09/30
+6.59% +4.21% +4.06% +1.27% +3.92% 1.25%
景順65歲後基金 - 單位類別 A 混合資產 11.825
2024/09/30
+12.48% +4.00% +3.93% +0.91% +5.35% 0.79%
景順65歲後基金 - 單位類別 H 混合資產 11.825
2024/09/30
+12.48% +4.00% +3.93% +0.91% +5.35% 0.80%
景順強積金保守基金 - 單位類別 A 強積金保守 12.844
2024/09/30
+3.89% +1.86% +0.93% +0.28% +2.82% 1.02%
景順強積金保守基金 - 單位類別 H 強積金保守 12.842
2024/09/30
+3.89% +1.86% +0.93% +0.28% +2.82% 1.02%
營辦機構平均 +17.19% +10.08% +7.28% +4.94% +12.44% 1.28%
成分基金 類別 價格 1年回報 6個月回報 3個月回報 1個月回報 本年迄今回報
開支比率 
基金開支比率?

基金開支比率以百分率顯示有關基金於上一個財政年度的收費。由於比率是根據上一財政期的數據編製,因此已公布的基金開支比率不能反映現年度的任何費用、或開支調整。倘若基金成立不足兩年,不用提供基金開支比率。
 
以上資料轉載至積金局,資料更新時間以積金局公布為準。
基金價格為最新資料,僅作參考之用。
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上述內容僅供參考之用,不得視為買賣任何所述基金的邀約或懇請。投資涉及風險,新興市場的風險可能較已發展市場高。認購將只按照有關銷售文件、最近的年度財務報表及半年度財務報表(如在年度財務報表之後發布)進行。投資價值及來自投資價值的收益(如有)可能有波動性及會在短時間內大幅波動。過往業績並非日後表現的指標。投資回報乃以基金的基本貨幣計值。因此,以美元/港元為基礎的投資者須承受美元/港元/基本貨幣匯率的波動。

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