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Quadratic利率波動與抗通膨主動型ETF〈IVOL〉
配息基準日除息日發放日幣別短期資本利得長期資本利得配息總額
2023/10/302023/10/272023/10/31美元  0.062989
2023/09/282023/09/272023/09/29美元  0.061250
2023/08/302023/08/292023/08/31美元  0.061252
2023/07/282023/07/272023/07/31美元  0.062034
2023/06/292023/06/282023/06/30美元  0.062450
2023/05/302023/05/262023/05/30美元  0.067176
2023/04/272023/04/262023/04/28美元  0.071330
2023/03/302023/03/292023/03/31美元  0.068946
2023/02/272023/02/242023/02/28美元  0.063678
2023/01/302023/01/272023/01/31美元  0.067006
2022/12/292022/12/282022/12/30美元  0.068175
2022/11/292022/11/282022/11/30美元  0.067840
2022/10/282022/10/272022/10/31美元  0.067992
2022/09/292022/09/282022/09/30美元  0.067379
2022/08/262022/08/292022/08/31美元  0.072270
2022/07/282022/07/272022/07/29美元  0.076400
2022/06/292022/06/282022/06/30美元  0.076566
2022/05/272022/05/262022/05/31美元  0.077099
2022/04/282022/04/272022/04/29美元  0.077355
2022/03/302022/03/292022/03/31美元  0.077769
2022/02/252022/02/242022/02/28美元  0.078043
2022/01/282022/01/272022/01/31美元  0.078293
2021/12/302021/12/292021/12/31美元  0.126905
2021/11/292021/11/262021/11/30美元  0.081592
2021/10/282021/10/272021/10/29美元  0.083365
2021/09/292021/09/282021/09/30美元  0.083150
2021/08/302021/08/272021/08/31美元  0.083645
2021/07/292021/07/282021/07/30美元  0.084660
2021/06/292021/06/282021/06/30美元  0.083414
2021/05/272021/05/262021/05/28美元  0.086243
2021/04/292021/04/282021/04/30美元  0.085347
2021/03/302021/03/292021/03/31美元  0.086199
2021/02/252021/02/242021/02/26美元  0.086360
2021/01/282021/01/272021/01/29美元  0.085016
2020/12/302020/12/292020/12/31美元  0.084020
2020/11/272020/11/252020/11/30美元  0.081926
2020/10/292020/10/282020/10/30美元  0.082285
2020/09/292020/09/282020/09/30美元  0.081847
2020/08/282020/08/272020/08/31美元  0.082363
2020/07/302020/07/292020/07/31美元  0.080821
2020/06/292020/06/262020/06/30美元  0.081006
2020/05/282020/05/272020/05/29美元  0.079475
2020/04/292020/04/282020/04/30美元  0.079430
2020/03/302020/03/272020/03/31美元  0.078542
2020/02/272020/02/262020/02/28美元  0.076128
2020/01/302020/01/292020/01/31美元  0.075724
2019/12/302019/12/272019/12/31美元  0.128170
2019/11/272019/11/262019/11/29美元  0.075710
2019/10/302019/10/292019/10/31美元  0.075992
2019/09/272019/09/262019/09/30美元  0.076560
2019/08/292019/08/282019/08/30美元  0.077521
2019/07/302019/07/292019/07/31美元  0.077430
說明:[短期資本利得]為在一年之內買進而又賣出的資本;[長期資本利得]是買進資本一年後才賣出的資本。
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附註:
一、 績效計算為原幣別報酬,且皆有考慮配息情況。基金配息率不代表基金報酬率,且過去配息率不代表未來配息率。所有基金績效,均為過去績效,不代表未來之績效表現,亦不保證基金之最低投資收益。
二、 基金淨值可能因市場因素而上下波動,基金淨值僅供參考,實際以基金公司公告之淨值為準;海外市場指數類型基金,以交易日當天收盤價為淨值參考價。
三、 上述銷售費用僅供參考,實際費率以各銷售機構為主。
四、 上述資料只供參考用途,嘉實資訊自當盡力提供正確訊息,但如有錯漏或疏忽,本公司或關係企業與其任何董事或任何受僱人,恕不負任何法律責任。
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