期元大S&P石油(00642U)

項目 更新時間 價格 漲跌 漲跌% 成交量
最新市價11:2714.960.191.294665
預估淨值11:2714.950.171.15 
折溢價  0.010.067 
55.55% 內盤(2392)(1914)外盤 44.45%
時間 買進 賣出 成交價 漲跌 單量
13120714.5214.5414.55-0.40404
12581114.5314.5414.53-0.42100
12533914.5314.5414.54-0.41105
12522614.5314.5414.54-0.4129
12493714.5314.5414.54-0.415
12485014.5314.5414.54-0.4113
12472614.5314.5414.54-0.4114
12460514.5314.5414.54-0.411
12451614.5314.5414.54-0.4111
12431214.5314.5414.54-0.4135
12320514.5014.5114.51-0.44366
12225014.5014.5114.51-0.446
12203714.5014.5114.51-0.44120
12141314.5114.5214.51-0.442
12140414.5114.5214.51-0.4419
12111714.5114.5214.52-0.4313
12053214.5114.5214.52-0.43247
11483414.5014.5114.52-0.4347
11363914.5214.5314.52-0.4351
11281014.5214.5314.53-0.42780
10413614.4814.4914.48-0.47847
09592214.4914.5114.49-0.4636
09555814.4714.4814.48-0.47227
09521914.4914.5214.50-0.451313
09131614.4814.4914.50-0.456
09123114.4714.5014.49-0.4622
09104314.5314.5014.49-0.461
09103914.5314.5014.47-0.48352
09070814.5314.5214.52-0.4314
09070114.5314.5414.52-0.432
09063514.5314.5414.51-0.44776
(00642U)

定期定額試算

Created with Highstock 5.0.7金額00642U定期定額試算圖最高價值: 236968.2元最高價值: 236968.2元總投資累積價值Jul '20Jan '21Jul '21Jan '22Jul '22Jan '23Jul '23Jan '24Jul '24Jan '25050000100000150000200000250000
年度 年度投入 年度獲利 年報酬% 累積投入 累積獲利 累積報酬% 年化報酬%
202024,0001640.6824,0001640.680.68
202136,00022,66862.9760,00022,83238.0521.35
202236,00016,09444.7096,00038,92640.5513.61
202336,000-10,146-28.18132,00028,77921.805.53
202436,00013,41237.26168,00042,19125.114.92
202512,000-31,057-258.81180,00011,1346.190.40

註:本試算結果僅供參考,不代表實際可能的報酬表現或預期的報酬表現。看更多

基本資料

全稱元大標普高盛原油ER指數股票型期貨信託基金 簡稱期元大S&P石油 代碼00642U 幣別TWD 屬性原型期貨ETF 追蹤方法完全複製法 追蹤指數標普高盛原油ER指數 投資地區全球 類型期貨型 資產規模(百萬)(TWD)2396.99 成立日2015-8-27 上市日2015-9-7 發行公司元大投信 交易所台灣上市 最近除息日  最近現金股利(元)(TWD)  管理費率1.00% 保管費率0.15% 交易單位1000 最近殖利率 

折溢價 / 續效

技術線圖

00642U14.51 14.63 14.47 14.63 6356 漲跌 -0.32
2025/04/11MA514.64MA1015.86MA2016.16
Created with Highstock 5.0.72024/122025/012025/022025/032025/0413.8115.1216.4317.7319.0401317826356©Money-Link.com 富聯網
成交量6356MV513236MV206049

籌碼分析

申購買回清單

基金淨資產價值(TWD)2,123,864,689
已發行受益權單位總數145,821,000
與前日已發行單位差異數0
每受益權單位淨資產價值14.56
每現金申購/買回基數之受益權單位數500,000
每現金申購/買回基數約當市值(TWD)7,282,438
每申購基數之預收申購總價金(TWD)8,020,000
每基數申購總價金差異額(TWD)(2025/4/10)-660,562
每基數實際申購總價金(TWD)(2025/4/10)7,289,438

歷史配息

配息幣別:台幣
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