富邦特選高股息30(00900)

項目 更新時間 價格 漲跌 漲跌% 成交量
最新市價14:3013.69006721
預估淨值17:0513.66---- 
折溢價  0.030.22 
53.29% 內盤(3432)(3008)外盤 46.71%
時間 買進 賣出 成交價 漲跌 單量
1430000.000.0013.690.0010
13300013.6813.7013.690.00201
13245413.6913.7013.700.018
13242513.6913.7013.700.011
13232813.6913.7013.700.0110
13230413.6913.7013.690.003
13222013.6913.7013.690.001
13220813.6913.7013.690.002
13214013.6913.7013.700.013
13213513.6913.7013.700.0115
13203213.6913.7013.700.011
13201513.6913.7013.690.001
13201213.6913.7013.700.01146
13193113.6913.7013.700.013
13185313.6913.7013.700.013
13175613.6813.6913.690.0010
13173713.6913.7013.690.001
13173313.6913.7013.690.0026
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13161513.6913.7013.700.011
13152113.6913.7013.700.011
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13145513.6913.7013.690.002
13134813.6813.6913.690.0038
13134713.6913.7013.690.0061
13134713.6813.6913.690.001
13133413.6913.7013.690.003
13130013.6913.7013.700.012
13121013.6913.7013.700.011
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13100813.6913.7013.690.0014
13094713.6913.7013.690.0010
13092013.6913.7013.700.013
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13083813.6913.7013.690.003
13081113.6913.7013.690.005
13071713.6913.7013.690.003
13071113.6913.7013.690.001
13070813.6913.7013.700.015
13070813.6913.7013.690.004
13061913.6913.7013.690.0059
13053613.6913.7013.700.015
13052013.6913.7013.700.012
13050613.6913.7013.700.011
13042913.6913.7013.700.012
13041213.6913.7013.690.001
13035313.6913.7013.700.011
13024513.6913.7013.700.015
13013113.6913.7013.700.0110
13011713.6913.7013.700.017
13010513.6913.7013.700.011
13005813.6913.7013.700.011
13004013.6913.7013.700.011
12595613.6913.7013.700.011
12594213.6913.7013.700.015
12583913.6913.7013.690.004
12583113.6913.7013.690.005
12583013.6913.7013.700.015
12572113.6813.6913.690.00108
12562713.6813.6913.690.001
12554413.6813.6913.690.001
12554113.6813.6913.690.001
12553413.6813.6913.690.0020
12552013.6813.6913.690.001
12544513.6813.6913.690.001
12543513.6813.6913.690.001
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12535613.6813.6913.68-0.012
12524813.6813.6913.68-0.016
12521913.6813.6913.690.001
12513213.6813.6913.690.0030
12510113.6813.6913.690.001
12501613.6813.6913.690.001
12491813.6813.6913.690.0010
12490213.6813.6913.68-0.01151
12485613.6813.6913.68-0.0120
12470913.6813.6913.68-0.012
12465613.6813.6913.690.001
12461313.6813.6913.690.001
12455313.6813.6913.690.001
12453913.6813.6913.690.009
12453713.6813.6913.690.005
12453613.6813.6913.690.005
12452413.6813.6913.690.0010
12450413.6813.6913.68-0.012
12442713.6813.6913.690.001
12434713.6813.6913.690.001
12431913.6813.6913.690.002
12431513.6813.6913.690.001
12422613.6813.6913.690.001
12421813.6813.6913.690.001
12421613.6813.6913.690.002
12415113.6813.6913.690.001
12405913.6813.6913.690.001
12405013.6813.6913.690.001
12400613.6813.6913.690.009
12400213.6813.6913.690.002
12390513.6813.6913.690.001
12382913.6813.6913.690.002
12380213.6913.7013.690.0053
12371113.6913.7013.700.012
12370413.6913.7013.690.00300
12355413.6913.7013.700.012
12353813.6913.7013.700.0110
12334113.6913.7013.690.006
12313613.6913.7013.690.0013
12311613.6913.7013.700.011
12310313.6913.7013.700.013
12310113.6913.7013.700.011
12304913.6913.7013.700.015
12300313.6913.7013.700.011
12290413.6913.7013.700.011
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12263913.6913.7013.700.011
12263413.6913.7013.700.011
12252513.6913.7013.700.013
12251213.6913.7013.700.011
12251113.6913.7013.700.011
12244313.6913.7013.700.012
12241913.6913.7013.700.012
12233213.6913.7113.690.0010
12232513.7013.7113.700.0126
12213413.7013.7113.700.011
12212613.7013.7113.700.011
12204813.7013.7113.700.0112
12193513.7013.7113.700.0110
12192013.7013.7113.700.0115
12190213.7013.7113.700.011
12183513.7013.7113.700.013
12174613.7013.7113.700.0110
12163713.7013.7113.710.021
12160613.7013.7113.700.011
12135813.7013.7113.710.022
12135113.7013.7113.710.021
12131113.7013.7113.710.021
12123213.7013.7113.700.016
12114913.7013.7113.700.0110
12112213.7013.7113.700.013
12083013.7013.7113.710.022
12071913.7013.7113.710.021
12062913.7013.7113.700.011
12060713.7013.7113.700.011
12060013.7013.7113.700.013
12055713.7013.7113.700.015
12052913.7013.7113.700.012
12045613.6913.7013.700.011
12042713.6913.7013.700.011
12042513.6913.7013.700.012
12041813.6913.7013.700.011
12041613.6913.7013.700.011
12040313.6913.7013.700.0130
12024813.6913.7013.700.012
12021513.6913.7013.690.001
12021513.6913.7013.700.011
12015613.6913.7013.700.016
12012813.6913.7013.700.012
12001213.6913.7013.700.015
11551013.6813.7013.700.012
11545713.6813.6913.690.002
11545313.6813.6913.690.001
11544613.6813.6913.690.004
11544513.6813.6913.690.0010
11541813.6813.6913.690.0019
11533013.6913.7013.690.0019
11511013.6913.7013.700.012
11501313.6913.7013.700.013
11483813.6913.7013.700.012
11473613.6913.7013.700.011
11462313.6913.7013.700.011
11442113.6913.7013.690.00108
11431013.6913.7013.700.011
11425213.6913.7013.700.013
11424713.6913.7013.690.001
11404113.6913.7013.700.0111
11392413.6913.7013.700.0110
11364213.6913.7013.700.012
11364213.7013.7113.700.018
11362613.6913.7013.700.011
11360613.6913.7013.700.0113
11345913.6913.7113.700.01370
11332313.6913.7013.700.011
11331213.7013.7113.700.01161
11323613.6913.7013.700.012
11321613.6913.7013.700.017
11301013.6913.7013.700.0131
11281213.6913.7013.690.001
11272313.6913.7013.690.008
11263913.6913.7013.700.015
11221413.6913.7013.700.0111
11191313.6913.7013.690.0034
11190413.6913.7013.690.006
11173913.6913.7013.700.0113
11151813.6913.7013.700.012
11144613.6913.7013.700.011
11133313.6913.7013.700.01194
11091013.6813.6913.690.002
11084813.6813.6913.690.003
11070913.6813.6913.690.00153
10592113.6813.6913.690.002
10563713.6813.6913.68-0.0110
10495713.6813.6913.690.0016
10472913.6813.6913.690.008
10464413.6913.7013.690.0014
10452713.6813.6913.690.0030
10443613.6913.7013.690.0021
10425413.6913.7013.690.00122
10383413.6913.7013.690.0024
10344413.6913.7013.700.0150
10344313.6913.7013.700.019
10325213.6913.7013.700.011
10322413.6913.7013.700.01108
10292813.6913.7013.700.01221
10200313.6713.6913.68-0.0175
10141013.6613.6713.67-0.029
10124913.6613.6713.67-0.028
10121613.6613.6713.67-0.0221
10115113.6613.6713.67-0.0249
10113213.6713.6813.67-0.02135
10113213.6713.6813.67-0.023
10113213.6713.6813.67-0.021
10113213.6713.6813.67-0.021
10113213.6713.6813.67-0.022
10110413.6813.6913.68-0.01146
10083413.6913.7013.690.00164
10083413.6913.7013.690.001
10083413.6913.7013.690.0010
10083413.6913.7013.690.002
10083413.6913.7013.690.001
10083413.6913.7013.690.001
10083413.6913.7013.690.001
10070713.7013.7113.700.01154
10070713.7013.7113.700.012
10070713.7013.7113.700.014
10070713.7013.7113.700.011
10070713.7013.7113.700.0110
10070313.7013.7113.700.01237
10070313.7013.7113.700.012
10070313.7013.7113.700.014
10070313.7013.7113.700.011
10070313.7013.7113.700.0110
10070313.7013.7113.700.012
10070313.7013.7113.700.0127
10035113.7313.7413.730.045
10032413.7313.7413.730.0471
10011513.7313.7413.740.0531
09555113.7213.7313.730.04154
09514813.7213.7313.720.03200
09421313.7013.7113.710.02205
09402213.7213.7313.720.0343
09392613.7313.7413.740.0515
09374313.7213.7313.740.058
09364313.7113.7313.720.03182
09335913.7113.7213.710.0234
09304413.7013.7113.710.023
09303913.7013.7113.700.012
09283813.7013.7113.700.01131
09282713.7013.7113.710.028
09272013.7013.7113.710.022
09271513.7013.7113.710.0211
09270913.7013.7113.710.0229
09244913.7013.7113.710.025
09243113.7013.7113.710.0224
09230613.7013.7113.710.021
09223413.7013.7113.700.012
09221813.7013.7113.710.0230
09215213.7013.7113.710.022
09212913.7013.7113.710.021
09210513.7013.7113.710.0210
09192313.6913.7013.700.0131
09185313.6913.7013.700.0132
09171113.6913.7013.700.0110
09165313.6913.7013.700.014
09150713.6813.6913.690.0061
09150713.6813.6913.690.001
09144013.6813.6913.690.0037
09125813.6813.6913.690.001
09123913.6813.6913.690.0026
09100613.6713.6813.68-0.018
09095213.6713.6813.68-0.0112
09091213.6613.6713.67-0.027
09090713.6813.6813.67-0.0265
09085913.6813.6813.68-0.01100
09063413.6613.6713.67-0.0222
09055213.6613.6713.66-0.0372
09040413.6713.6813.67-0.0254
09022813.7113.7213.67-0.02269
(00900)

定期定額試算

Created with Highstock 5.0.7金額00900定期定額試算圖最高價值: 146791.7元最高價值: 146791.7元總投資累積價值Jan '22May '22Sep '22Jan '23May '23Sep '23Jan '24May '24Sep '24Jan '25050000100000150000200000
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%
202100--00NaNNaN
202236,000-3,604-10.0136,000-3,604-10.01-10.01
202336,00020,98058.2872,00017,37624.1311.41
202436,0006,82018.94108,00024,19522.406.97
20259,0003253.61117,00024,52020.961.47

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

全稱富邦特選台灣高股息30 ETF證券投資信託基金 簡稱富邦特選高股息30 代碼00900 幣別TWD 屬性國內成分股ETF 追蹤方法完全複製法 追蹤指數特選台灣上市上櫃高股息30指數 投資地區台灣 類型股票型 資產規模(百萬)(TWD)28289.401707 成立日2021-12-14 上市日2021-12-22 發行公司富邦投信 交易所台灣上市 最近除息日2025-4-23 最近現金股利(元)(TWD)0.1 管理費率0.30% 保管費率0.035% 交易單位1000 最近殖利率0.73046

折溢價 / 續效

技術線圖

00900 

籌碼分析

申購買回清單

基金淨資產價值(TWD)28,297,566,230
已發行受益權單位總數2,071,525,000
與前日已發行單位差異數1,000,000
每受益權單位淨資產價值13.66
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)6,830,129
每申購基數之預收申購總價金(TWD)7,390,000
每基數申購總價金差異額(TWD)(2025/4/2)-548,041
每基數實際申購總價金(TWD)(2025/4/2)6,841,959
證券代碼 證券名稱 股數 為現金替代(N/Y) 可否參予最小實物申購(N/Y)
1477聚 陽2478000----
2301光寶科7824000----
2303聯 電31278000----
2330台積電1150000----
2357華 碩2317000----
2385群 光8006000----
2404漢 唐2143000----
2454聯發科1085000----
2458義 隆2005000----
2474可 成4296000----
2504國 產13137000----
2603長 榮6278000----
2606裕 民5190000----
2609陽 明18610000----
2618長榮航32785000----
2637慧洋-KY6378000----
2809京城銀11727000----
2891中信金36423000----
3008大立光458000----
3034聯 詠2815000----
3044健 鼎5871000----
3680家 登551000----
4763材料-KY306000----
4966譜瑞-KY392000----
6121新 普2215000----
6139亞 翔2349000----
6147頎 邦9030000----
6176瑞 儀5155000----
6239力 成10402000----
8299群 聯2085000----

歷史配息

配息幣別:台幣
除息日配息年度殖利率
2025/4/230.12.92
2025/3/180.12.92
2025/2/190.12.92
2025/1/170.12.92
2024/12/170.18.70
2024/11/180.18.70
2024/8/160.7928.70
2024/5/170.18.70
2024/2/270.128.70
2023/11/160.2247.05
2023/8/160.617.05
2023/5/170.0177.05
2023/2/160.127.05
2022/11/160.1512.99
2022/8/161.212.99
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