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强积金简易搜寻

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成分基金 类别 价格 1年回报 6个月回报 3个月回报 1个月回报 本年迄今回报
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基金开支比率?

基金开支比率以百分率显示有关基金於上一个财政年度的收费。由於比率是根据上一财政期的数据编制,因此已公布的基金开支比率不能反映现年度的任何费用丶或开支调整。倘若基金成立不足两年,不用提供基金开支比率。
 

 友邦强积金优选计划

中港基金 股票 141.470
2024/10/31
+22.79% +17.80% +17.33% -3.39% +23.05% 0.78%
大中华股票基金 股票 269.450
2024/10/31
+21.45% +12.77% +12.50% -3.95% +17.02% 1.67%
美洲基金 股票 376.110
2024/10/31
+34.96% +12.48% +2.82% -0.98% +18.69% 0.82%
北美股票基金 股票 444.970
2024/10/31
+33.70% +12.09% +2.69% -0.62% +18.62% 1.67%
绿色退休基金 股票 297.430
2024/10/31
+31.54% +11.80% +3.38% -0.88% +15.33% 1.42%
中港动态资产配置基金 混合资产 100.350
2024/10/31
+13.98% +11.52% +10.85% -2.52% +13.75% 1.28%
全球基金 股票 221.680
2024/10/31
+29.65% +9.55% +1.62% -2.50% +14.36% 0.84%
增长组合 混合资产 312.410
2024/10/31
+21.22% +8.05% +3.89% -3.57% +11.57% 1.67%
核心累积基金 混合资产 1.534
2024/10/31
+20.34% +7.01% +1.23% -1.92% +8.81% 0.79%
亚洲股票基金 股票 346.290
2024/10/31
+21.57% +6.85% +1.40% -3.89% +9.84% 1.69%
基金经理精选退休基金 混合资产 199.650
2024/10/31
+14.95% +6.08% +2.10% -2.97% +6.41% 1.46%
均衡组合 混合资产 227.380
2024/10/31
+14.82% +6.06% +2.32% -3.14% +6.08% 1.67%
稳定资本组合 混合资产 195.020
2024/10/31
+11.71% +5.09% +1.22% -2.89% +3.68% 1.67%
亚洲债券基金 债券 112.770
2024/10/31
+8.74% +4.67% +1.00% -1.42% +2.39% 0.78%
65岁后基金 混合资产 1.144
2024/10/31
+10.64% +4.22% +0.48% -1.68% +2.91% 0.80%
亚欧基金 股票 194.980
2024/10/31
+20.05% +4.22% -0.73% -5.42% +6.66% 0.84%
环球债券基金 债券 110.770
2024/10/31
+8.44% +3.56% -0.15% -2.78% -0.10% 0.98%
强积金保守基金 强积金保守 121.930
2024/10/31
+3.32% +1.50% +0.71% +0.24% +2.75% 0.78%
欧洲股票基金 股票 310.650
2024/10/31
+20.06% +1.10% -3.09% -5.28% +5.18% 1.67%
保证组合 保证 N/A
N/A N/A N/A N/A N/A 1.56%

 AMTD 强积金计划

AMTD 景顺香港中国基金 股票 11.468
2024/10/31
+11.81% +10.91% +13.23% -5.64% +14.64% 1.29%
AMTD 安联精选增长基金 混合资产 21.662
2024/10/31
+21.80% +8.41% +3.94% -4.15% +12.53% 1.31%
AMTD 景顺亚洲基金 股票 16.780
2024/10/31
+19.14% +8.07% +2.51% -3.65% +9.28% 1.38%
AMTD 安联精选均衡基金 混合资产 18.459
2024/10/31
+18.29% +7.37% +3.23% -3.83% +9.60% 1.32%
AMTD 景顺核心累积基金 混合资产 15.458
2024/10/31
+21.38% +6.86% +0.85% -2.03% +9.61% 0.89%
AMTD 安联精选稳定增长基金 混合资产 15.629
2024/10/31
+15.03% +6.27% +2.38% -3.49% +6.68% 1.30%
AMTD 景顺目标2048退休基金 混合资产 18.701
2024/10/31
+16.15% +6.26% +2.71% -3.94% +7.45% 1.70%
AMTD 景顺目标2038退休基金 混合资产 17.331
2024/10/31
+14.19% +5.89% +1.98% -3.73% +5.80% 1.56%
AMTD 安联精选稳定资本基金 混合资产 13.122
2024/10/31
+11.46% +5.06% +1.59% -3.15% +3.78% 1.32%
AMTD 景顺目标2028退休基金 混合资产 15.165
2024/10/31
+11.81% +5.05% +1.20% -3.54% +3.84% 1.70%
AMTD景顺目标现在退休基金 混合资产 13.541
2024/10/31
+10.46% +4.62% +0.80% -3.42% +2.71% 1.89%
AMTD 景顺65岁后基金 混合资产 11.494
2024/10/31
+11.07% +4.12% +0.09% -1.80% +3.17% 0.91%
AMTD 景顺环球债券基金 债券 10.325
2024/10/31
+7.38% +3.58% -0.35% -3.03% -0.06% 1.37%
AMTD 安联精选灵活资产基金 混合资产 14.649
2024/10/31
+8.05% +2.54% +0.05% -1.36% +3.58% 1.31%
AMTD 景顺强积金保守基金 强积金保守 10.773
2024/10/31
+3.31% +1.59% +0.72% +0.22% +2.69% 1.69%
AMTD 景顺欧洲基金 股票 20.328
2024/10/31
+15.28% -1.56% -3.26% -4.71% +0.75% 1.37%

 交通银行愉盈退休强积金计划

交通银行恒指ESG成分基金 股票 23.297
2024/10/31
+10.55% +17.37% +22.83% -4.85% +13.14% 0.93%
交通银行中国动力股票成分基金 股票 23.043
2024/10/31
+17.12% +15.21% +17.42% -3.75% +20.98% 1.74%
交通银行香港动力股票成分基金 股票 19.920
2024/10/31
+16.40% +14.14% +15.50% -4.33% +17.74% 1.71%
交通银行北美股票成分基金 股票 13.382
2024/10/31
+34.49% +12.43% +2.75% -1.02% +18.39% N/A
交通银行大中华股票成分基金 股票 27.239
2024/10/31
+16.26% +11.93% +11.68% -3.61% +13.87% 1.71%
交通银行亚洲动力股票成分基金 股票 40.978
2024/10/31
+25.84% +9.70% +3.17% -3.11% +13.59% 1.72%
交通银行动力增长成分基金 混合资产 37.412
2024/10/31
+21.43% +8.19% +3.87% -4.16% +12.21% 1.75%
交通银行核心累积基金 混合资产 31.089
2024/10/31
+21.85% +7.05% +0.89% -2.06% +9.86% 0.82%
交通银行均衡成分基金 混合资产 20.936
2024/10/31
+15.82% +6.95% +3.40% -3.71% +7.50% 1.71%
交通银行平稳增长成分基金 混合资产 17.236
2024/10/31
+12.72% +5.59% +1.98% -3.65% +4.42% 1.70%
交通银行保证回报成分基金 保证 13.865
2024/10/31
+7.56% +4.47% +2.22% -1.25% +5.03% 1.76%
交通银行65岁后基金 混合资产 23.156
2024/10/31
+11.63% +4.34% +0.12% -1.86% +3.35% 0.82%
交通银行环球债券成分基金 债券 22.253
2024/10/31
+7.73% +3.43% -0.49% -3.31% -0.43% 1.20%
交通银行强积金保守基金 强积金保守 14.805
2024/10/31
+3.46% +1.60% +0.77% +0.25% +2.83% 1.04%

 BCT(强积金)行业计划

BCT (行业) 中国及香港股票基金 股票 3.528
2024/10/31
+18.11% +13.69% +16.35% -5.47% +18.55% 1.67%
BCT(行业)环球股票基金 股票 3.909
2024/10/31
+32.20% +10.64% +3.00% -2.45% +15.47% 1.89%
BCT(行业)亚洲股票基金 股票 3.851
2024/10/31
+22.01% +7.55% +2.85% -4.34% +13.27% 1.75%
BCT(行业)核心累积基金 混合资产 1.536
2024/10/31
+21.76% +7.00% +0.87% -2.05% +9.79% 0.87%
BCT(行业)E70 混合资产基金 混合资产 2.292
2024/10/31
+16.73% +6.90% +3.14% -4.08% +7.46% 1.72%
BCT(行业)E50 混合资产基金 混合资产 2.156
2024/10/31
+13.96% +5.86% +2.10% -3.81% +5.06% 1.72%
BCT(行业)E30 混合资产基金 混合资产 1.965
2024/10/31
+11.35% +4.89% +1.12% -3.54% +2.76% 1.71%
BCT(行业)65岁后基金 混合资产 1.156
2024/10/31
+11.58% +4.32% +0.10% -1.86% +3.31% 0.87%
BCT(行业)人民币债券基金 债券 1.062
2024/10/31
+5.49% +2.87% +1.88% -1.22% +2.62% 1.27%
BCT灵活混合资产基金 混合资产 1.718
2024/10/31
+7.60% +2.26% -0.05% -1.40% +3.20% 1.64%
BCT(行业)强积金保守基金 强积金保守 1.212
2024/10/31
+3.51% +1.64% +0.77% +0.24% +2.83% 0.98%
BCT(行业)环球债券基金 债券 1.240
2024/10/31
+5.80% +1.22% -1.11% -3.16% -2.34% 1.65%

 BCT积金之选

BCT恒指基金 股票 1.360
2024/10/31
+22.64% +17.82% +17.33% -3.51% +23.05% 0.84%
BCT大中华股票基金 股票 1.633
2024/10/31
+23.32% +13.85% +10.72% -3.55% +18.13% 1.15%
BCT中国及香港股票基金 股票 0.914
2024/10/31
+14.24% +13.46% +16.63% -5.29% +16.07% 1.51%
BCT美国股票基金 股票 1.169
2024/10/31
+34.31% +12.35% +2.70% -1.08% +17.87% 0.95%
BCT世界股票基金 股票 2.756
2024/10/31
+28.79% +9.00% +1.54% -2.62% +13.16% 1.01%
BCT环球股票基金 股票 4.499
2024/10/31
+28.84% +8.25% +1.38% -2.36% +13.78% 1.49%
BCT亚洲股票基金 股票 3.870
2024/10/31
+21.89% +8.20% +3.19% -4.30% +12.72% 1.61%
BCT储蓄易2040 基金 混合资产 2.829
2024/10/31
+23.22% +8.00% +3.45% -4.70% +12.33% 1.50%
BCT储蓄易2045 基金 混合资产 0.942
2024/10/31
+23.10% +7.83% +3.45% -4.66% +12.26% 1.57%
BCT储蓄易2035 基金 混合资产 2.722
2024/10/31
+22.73% +7.80% +3.27% -4.66% +11.89% 1.50%
BCT储蓄易2050 基金 混合资产 0.946
2024/10/31
+22.94% +7.78% +3.41% -4.81% +12.19% 1.53%
BCT储蓄易2030 基金 混合资产 2.727
2024/10/31
+21.38% +7.18% +2.79% -4.53% +10.80% 1.50%
BCT核心累积基金 混合资产 1.555
2024/10/31
+21.79% +7.01% +0.88% -2.04% +9.83% 0.79%
BCT E90 混合资产基金 混合资产 2.617
2024/10/31
+21.00% +6.71% +3.08% -4.21% +11.20% 1.51%
BCT E70 混合资产基金 混合资产 2.391
2024/10/31
+17.69% +5.88% +2.45% -4.01% +8.42% 1.52%
BCT E50 混合资产基金 混合资产 2.153
2024/10/31
+14.39% +4.89% +1.54% -3.75% +5.53% 1.51%
BCT储蓄易2025 基金 混合资产 2.588
2024/10/31
+14.08% +4.86% +0.87% -3.56% +5.18% 1.25%
BCT港元债券基金 债券 1.253
2024/10/31
+8.52% +4.34% +0.68% -1.23% +3.45% 1.06%
BCT 65岁后基金 混合资产 1.160
2024/10/31
+11.60% +4.32% +0.09% -1.84% +3.35% 0.79%
BCT储蓄易2020 基金 混合资产 2.362
2024/10/31
+11.87% +4.18% +0.43% -3.21% +3.95% 1.25%
BCT E30 混合资产基金 混合资产 1.825
2024/10/31
+11.11% +3.89% +0.61% -3.52% +2.65% 1.51%
BCT人民币债券基金 债券 1.062
2024/10/31
+5.57% +2.94% +1.92% -1.17% +2.70% 1.23%
BCT环球债券基金 债券 1.431
2024/10/31
+6.44% +2.49% -0.61% -3.19% -1.43% 1.46%
BCT灵活混合资产基金 混合资产 1.817
2024/10/31
+7.88% +2.39% 0.00% -1.38% +3.43% 1.35%
BCT强积金保守基金 强积金保守 1.226
2024/10/31
+3.59% +1.68% +0.78% +0.24% +2.90% 0.90%
BCT亚洲收益退休基金 混合资产 0.974
2024/10/31
+1.51% +1.30% +0.62% -0.80% +0.54% 1.59%
BCT欧洲股票基金 股票 1.548
2024/10/31
+15.47% -2.11% -3.15% -5.68% +0.81% 1.58%

 东亚(强积金)行业计划

东亚中国追踪指数基金 股票 8.278
2024/10/31
+27.17% +19.36% +19.48% -3.00% +29.42% 1.20%
东亚香港追踪指数基金 股票 13.212
2024/10/31
+22.82% +17.83% +17.24% -3.43% +23.10% 0.61%
东亚 (行业计划) 大中华股票基金 股票 16.422
2024/10/31
+23.05% +13.14% +11.43% -3.59% +18.30% 1.32%
东亚 (行业计划) 香港股票基金 股票 10.325
2024/10/31
+17.58% +12.63% +14.07% -5.22% +18.44% 1.28%
东亚 (行业计划) 核心累积基金 混合资产 15.923
2024/10/31
+22.36% +7.09% +1.06% -2.22% +10.55% 0.78%
东亚 (行业计划) 亚洲股票基金 股票 17.139
2024/10/31
+28.76% +7.06% +0.85% -2.80% +17.04% 1.29%
东亚 (行业计划) 增长基金 混合资产 25.621
2024/10/31
+18.58% +6.31% +2.44% -3.54% +9.54% 1.38%
东亚 (行业计划) 均衡基金 混合资产 21.514
2024/10/31
+15.19% +5.25% +1.49% -3.36% +6.42% 1.36%
东亚 (行业计划) 65岁后基金 混合资产 11.799
2024/10/31
+11.77% +4.37% +0.21% -2.06% +3.51% 0.79%
东亚 (行业计划) 平稳基金 混合资产 18.885
2024/10/31
+11.39% +4.14% +0.64% -3.11% +3.25% 1.32%
东亚 (行业计划) 强积金保守基金 强积金保守 14.833
2024/10/31
+3.53% +1.67% +0.80% +0.25% +2.91% 1.16%
东亚 (行业计划) 人民币及港币货币市场基金 货币市场 11.029
2024/10/31
+3.55% +1.65% +0.87% -0.86% +1.59% 0.79%

 东亚(强积金)集成信托计划

东亚中国追踪指数基金 股票 8.014
2024/10/31
+27.00% +19.23% +19.39% -3.05% +29.26% 1.21%
东亚香港追踪指数基金 股票 13.212
2024/10/31
+22.72% +17.75% +17.20% -3.43% +23.00% 0.62%
东亚 (强积金) 大中华股票基金 股票 20.590
2024/10/31
+23.88% +13.04% +11.43% -3.66% +18.75% 1.29%
东亚(强积金)香港股票基金 股票 17.374
2024/10/31
+17.51% +12.64% +14.13% -5.21% +18.51% 1.27%
东亚 (强积金) 北美股票基金 股票 36.395
2024/10/31
+31.78% +10.66% +2.66% -1.00% +16.31% 1.27%
东亚 (强积金) 环球股票基金 股票 27.043
2024/10/31
+31.53% +8.99% +1.57% -2.33% +16.29% 1.28%
东亚(强积金)亚洲股票基金 股票 29.316
2024/10/31
+29.21% +7.16% +0.87% -2.85% +17.29% 1.32%
东亚(强积金)核心累积基金 混合资产 15.978
2024/10/31
+22.35% +7.08% +1.06% -2.23% +10.54% 0.78%
东亚 (强积金) 增长基金 混合资产 24.850
2024/10/31
+18.66% +6.39% +2.45% -3.55% +9.57% 1.37%
东亚 (强积金) 均衡基金 混合资产 21.297
2024/10/31
+15.27% +5.30% +1.52% -3.37% +6.50% 1.35%
东亚(强积金)65岁后基金 混合资产 11.775
2024/10/31
+11.80% +4.37% +0.21% -2.06% +3.52% 0.80%
东亚 (强积金) 平稳基金 混合资产 18.513
2024/10/31
+11.42% +4.17% +0.65% -3.10% +3.26% 1.31%
东亚(强积金)环球债券基金 债券 10.742
2024/10/31
+6.30% +3.11% -0.36% -2.74% -1.20% 1.07%
东亚 (强积金) 人民币及港币货币市场基金 货币市场 11.092
2024/10/31
+3.84% +1.84% +1.00% -0.82% +1.79% 0.79%
东亚 (强积金) 保守基金 强积金保守 15.441
2024/10/31
+3.51% +1.66% +0.78% +0.25% +2.89% 1.17%
东亚 (强积金) 欧洲股票基金 股票 16.410
2024/10/31
+17.50% +1.11% -2.05% -4.12% +4.36% 1.59%
东亚(强积金)日本股票基金 股票 11.359
2024/10/31
+18.67% +0.07% -4.15% -0.98% +11.16% 1.70%

 东亚(强积金)享惠计划

东亚香港追踪指数基金 股票 12.060
2024/10/31
+22.34% +17.57% +17.03% -3.56% +22.68% 0.72%
东亚大中华股票基金 股票 17.973
2024/10/31
+23.37% +13.19% +11.67% -3.54% +18.68% 0.96%
东亚环球股票基金 股票 27.941
2024/10/31
+32.32% +9.25% +1.63% -2.35% +16.94% 0.96%
东亚核心累积基金 混合资产 16.053
2024/10/31
+22.31% +7.08% +1.07% -2.23% +10.50% 0.86%
东亚亚洲股票基金 股票 15.502
2024/10/31
+26.72% +6.46% +0.75% -2.70% +16.01% 0.97%
东亚增长基金 混合资产 16.628
2024/10/31
+20.18% +6.20% +2.35% -3.30% +10.51% 0.95%
东亚均衡基金 混合资产 14.772
2024/10/31
+16.58% +5.32% +1.49% -3.13% +7.33% 0.95%
东亚65岁后基金 混合资产 11.763
2024/10/31
+11.68% +4.31% +0.19% -2.07% +3.44% 0.85%
东亚平稳基金 混合资产 12.617
2024/10/31
+12.44% +4.20% +0.57% -2.95% +4.00% 0.95%
东亚环球债券基金 债券 9.306
2024/10/31
+6.08% +2.86% -0.47% -2.89% -1.84% 0.94%
东亚强积金保守基金 强积金保守 11.616
2024/10/31
+3.59% +1.66% +0.78% +0.25% +2.95% 1.15%

 中银保诚简易强积金计划

中银保诚中证香港100指数基金 股票 12.628
2024/10/31
+21.57% +17.02% +17.24% -5.22% +21.81% 1.01%
中银保诚中国股票基金 股票 7.225
2024/10/31
+18.38% +16.63% +19.13% -5.27% +21.67% 1.74%
中银保诚香港股票基金 股票 36.594
2024/10/31
+18.97% +15.33% +16.33% -5.45% +18.94% 1.68%
中银保诚北美指数追踪基金 股票 38.674
2024/10/31
+34.87% +12.54% +3.06% -0.92% +18.27% 1.04%
中银保诚亚洲股票基金 股票 18.268
2024/10/31
+25.78% +9.15% +3.49% -4.50% +13.53% 1.73%
中银保诚环球股票基金 股票 47.076
2024/10/31
+29.04% +9.00% +1.66% -2.12% +13.91% 1.70%
中银保诚增长基金 混合资产 28.387
2024/10/31
+22.62% +8.62% +4.54% -3.77% +12.02% 1.69%
中银保诚核心累积基金 混合资产 15.783
2024/10/31
+20.57% +7.08% +1.17% -1.92% +9.02% 0.77%
中银保诚均衡基金 混合资产 22.926
2024/10/31
+14.80% +5.87% +2.19% -3.49% +5.55% 1.68%
中银保诚65岁后基金 混合资产 11.585
2024/10/31
+11.08% +4.45% +0.44% -1.66% +3.27% 0.79%
中银保诚平稳基金 混合资产 19.521
2024/10/31
+10.94% +4.44% +1.05% -3.24% +2.56% 1.67%
中银保诚香港平稳退休基金 混合资产 11.154
2024/10/31
+8.71% +3.92% +0.86% -0.94% +4.66% N/A
中银保诚债券基金 债券 11.840
2024/10/31
+6.24% +2.80% -0.47% -2.79% -0.99% 1.52%
中银保诚强积金人民币及港元货币市场基金 货币市场 11.868
2024/10/31
+4.52% +2.11% +1.16% -0.74% +2.21% 0.30%
中银保诚强积金保守基金 强积金保守 13.025
2024/10/31
+4.00% +1.84% +0.86% +0.24% +3.25% 1.16%
中银保诚欧洲指数追踪基金 股票 21.245
2024/10/31
+19.95% +1.73% -2.15% -4.60% +5.66% 1.05%
中银保诚日本股票基金 股票 11.941
2024/10/31
+20.47% +0.55% -4.17% -1.77% +9.75% 1.68%

 我的强积金计划

我的香港追踪指数基金 股票 13.107
2024/10/31
+22.95% +17.77% +17.63% -4.02% +23.06% 0.73%
我的香港股票基金 股票 13.830
2024/10/31
+18.80% +14.02% +16.52% -5.87% +19.14% 1.04%
我的中国股票基金 股票 21.526
2024/10/31
+19.47% +11.43% +14.47% -4.04% +14.55% 1.06%
我的亚洲股票基金 股票 20.566
2024/10/31
+30.81% +9.51% +0.34% -2.74% +15.24% 1.08%
我的环球股票基金 股票 28.104
2024/10/31
+28.38% +9.17% +1.84% -2.02% +14.48% 1.06%
我的增长基金 混合资产 20.605
2024/10/31
+22.55% +7.39% +3.19% -4.65% +11.61% 1.05%
我的均衡基金 混合资产 19.385
2024/10/31
+16.43% +7.21% +3.49% -3.68% +7.97% 1.04%
我的核心累积基金 混合资产 15.457
2024/10/31
+20.79% +6.96% +1.08% -1.92% +9.11% 0.76%
我的平稳基金 混合资产 15.893
2024/10/31
+13.31% +5.84% +2.07% -3.62% +4.87% 1.04%
我的65岁后基金 混合资产 11.510
2024/10/31
+11.26% +4.42% +0.49% -1.66% +3.27% 0.76%
我的港元债券基金 债券 12.354
2024/10/31
+8.51% +4.33% +0.65% -1.28% +3.40% 1.03%
我的环球债券基金 债券 8.950
2024/10/31
+6.87% +3.55% -0.62% -3.10% -1.53% 0.99%
我的人民币及港元货币市场基金 货币市场 10.831
2024/10/31
+3.80% +1.75% +1.02% -1.03% +1.47% 0.94%
我的强积金保守基金 强积金保守 10.811
2024/10/31
+3.53% +1.66% +0.78% +0.23% +2.95% 1.21%

 中国人寿强积金集成信托计划

中国人寿香港股票基金 股票 14.331
2024/10/31
+19.35% +14.53% +16.99% -5.53% +19.69% 0.87%
中国人寿大中华股票基金 股票 7.631
2024/10/31
+19.53% +11.54% +14.70% -3.76% +14.63% 1.27%
中国人寿美国股票基金 股票 10.417
2024/10/31
+32.04% +11.18% +2.89% -0.62% +15.24% 0.94%
中国人寿乐休闲环球股票基金 股票 16.740
2024/10/31
+28.67% +8.53% +2.99% -1.36% +13.98% 1.31%
中国人寿增长基金 混合资产 30.646
2024/10/31
+22.30% +7.28% +3.17% -4.63% +11.41% 1.43%
中国人寿核心累积基金 混合资产 15.514
2024/10/31
+21.82% +7.00% +0.86% -2.06% +9.81% 0.83%
中国人寿平衡基金 混合资产 27.155
2024/10/31
+18.41% +6.23% +2.36% -4.26% +8.48% 1.43%
中国人寿65岁后基金 混合资产 11.483
2024/10/31
+11.65% +4.33% +0.08% -1.86% +3.35% 0.83%
中国人寿乐安心保证基金 保证 14.367
2024/10/31
+10.39% +4.18% +0.44% -1.61% +3.51% 2.06%
中国人寿强积金保守基金 强积金保守 11.719
2024/10/31
+3.52% +1.66% +0.81% +0.23% +2.89% 0.90%

 富达退休集成信托

富达香港盈富基金 股票 12.271
2024/10/31
+22.56% +17.71% +17.17% -3.46% +22.88% 0.76%
香港股票基金 股票 29.325
2024/10/31
+18.31% +13.79% +16.44% -5.90% +18.68% 1.52%
美洲股票基金 股票 12.434
2024/10/31
+35.76% +13.50% +1.70% -0.18% +19.96% N/A
亚太股票基金 股票 29.783
2024/10/31
+30.21% +9.26% +0.18% -2.78% +14.85% 1.54%
环球股票基金 股票 39.600
2024/10/31
+29.78% +9.09% +1.37% -2.46% +14.26% 1.51%
富达「储蓄易」2040基金 混合资产 30.666
2024/10/31
+23.28% +8.02% +3.47% -4.72% +12.36% 1.53%
富达「储蓄易」2050基金 混合资产 14.117
2024/10/31
+23.17% +7.85% +3.44% -4.83% +12.32% 1.59%
富达「储蓄易」2035基金 混合资产 30.104
2024/10/31
+22.75% +7.83% +3.26% -4.68% +11.89% 1.54%
富达「储蓄易」2045基金 混合资产 14.338
2024/10/31
+23.15% +7.81% +3.42% -4.76% +12.18% 1.63%
富达「储蓄易」2030基金 混合资产 29.675
2024/10/31
+21.41% +7.23% +2.81% -4.56% +10.84% 1.53%
核心累积基金 混合资产 15.316
2024/10/31
+20.67% +7.18% +1.17% -2.01% +9.07% 0.80%
增长基金 混合资产 31.114
2024/10/31
+22.09% +7.16% +3.06% -4.71% +11.19% 1.52%
均衡基金 混合资产 27.923
2024/10/31
+18.20% +6.16% +2.25% -4.32% +8.30% 1.52%
退休易基金 混合资产 9.153
2024/10/31
+14.79% +5.32% +0.46% -2.86% +5.15% 1.27%
平稳增长基金 混合资产 24.506
2024/10/31
+14.90% +5.00% +1.16% -4.06% +5.44% 1.51%
富达「储蓄易」2025基金 混合资产 27.659
2024/10/31
+14.10% +4.84% +0.88% -3.59% +5.16% 1.29%
香港债券基金 债券 13.593
2024/10/31
+8.59% +4.77% +0.76% -1.18% +3.69% 1.26%
65岁后基金 混合资产 11.387
2024/10/31
+11.08% +4.50% +0.43% -1.69% +3.18% 0.81%
富达「储蓄易」2020基金 混合资产 25.262
2024/10/31
+11.83% +4.11% +0.43% -3.24% +3.89% 1.29%
资本稳定基金 混合资产 20.676
2024/10/31
+11.67% +3.97% +0.20% -3.65% +3.12% 1.52%
国际债券基金 债券 12.836
2024/10/31
+6.32% +3.27% -0.76% -3.18% -1.96% 1.50%
人民币债券基金 债券 10.897
2024/10/31
+5.74% +3.25% +1.65% -1.14% +2.88% 1.32%
强积金保守基金 强积金保守 11.866
2024/10/31
+3.68% +1.78% +0.88% +0.34% +3.01% 1.13%
欧洲股票基金 股票 10.954
2024/10/31
+19.22% +1.09% -3.28% -5.39% +4.37% N/A

 海通MPF退休金

香港特区基金 - T类别 股票 68.840
2024/10/31
+13.82% +10.37% +13.21% -3.38% +16.44% 1.63%
香港特区基金 - A类别 股票 61.830
2024/10/31
+13.72% +10.33% +13.18% -3.39% +16.35% 1.72%
环球分散基金 - T类别 股票 34.410
2024/10/31
+37.31% +9.10% +3.02% -0.29% +21.59% 1.25%
环球分散基金 - A类别 股票 30.170
2024/10/31
+37.14% +9.04% +2.97% -0.33% +21.46% 1.35%
亚太基金 - T类别 股票 22.200
2024/10/31
+25.92% +8.77% +1.09% -2.76% +15.93% 1.82%
亚太基金 - A类别 股票 19.310
2024/10/31
+25.88% +8.73% +1.10% -2.77% +15.84% 1.87%
海通核心累积基金 - T类别 混合资产 16.780
2024/10/31
+26.45% +7.36% +2.07% -0.83% +14.46% 0.92%
海通核心累积基金 - A类别 混合资产 16.660
2024/10/31
+26.40% +7.35% +2.02% -0.83% +14.42% 0.91%
海通65岁后基金 - T类别 混合资产 12.200
2024/10/31
+14.45% +5.26% +0.99% -1.37% +6.27% 0.92%
海通65岁后基金 - A类别 混合资产 12.200
2024/10/31
+14.45% +5.26% +0.99% -1.37% +6.27% 0.92%
强积金保守基金 - A类别 强积金保守 12.090
2024/10/31
+3.69% +1.77% +0.83% +0.33% +3.07% 1.28%
强积金保守基金 - T类别 强积金保守 12.320
2024/10/31
+3.62% +1.65% +0.82% +0.24% +3.01% 1.24%
韩国基金 - T类别 股票 29.620
2024/10/31
+15.52% -6.09% -7.84% -5.25% -1.53% 1.72%
韩国基金 - A类别 股票 26.920
2024/10/31
+15.54% -6.10% -7.84% -5.24% -1.54% 1.72%

 恒生强积金智选计划

亚洲均衡基金 股票 7.420
2024/10/31
+27.49% +19.29% +19.29% -3.39% +29.49% 0.90%
恒指基金 股票 23.080
2024/10/31
+22.70% +17.64% +17.52% -3.87% +22.90% 0.80%
智优逸北美股票追踪指数基金 股票 43.630
2024/10/31
+35.16% +12.68% +3.14% -0.82% +18.59% 0.81%
北美股票基金 股票 32.240
2024/10/31
+32.89% +12.10% +2.48% -0.80% +17.66% 1.31%
中港股票基金 股票 20.810
2024/10/31
+16.91% +11.70% +12.37% -6.97% +17.31% 1.52%
智优逸亚太股票追踪指数基金 股票 14.570
2024/10/31
+26.26% +10.30% +4.22% -4.58% +14.18% 0.90%
中国股票基金 股票 12.760
2024/10/31
+16.00% +10.19% +11.15% -7.33% +18.92% 1.53%
亚太股票基金 股票 32.670
2024/10/31
+26.63% +9.78% +3.58% -4.64% +14.79% 1.53%
环球股票基金 股票 24.830
2024/10/31
+27.53% +7.72% -0.08% -2.74% +12.97% 0.81%
增长基金 混合资产 24.540
2024/10/31
+20.53% +7.49% +3.41% -4.51% +11.09% 1.52%
智优逸均衡基金 混合资产 16.300
2024/10/31
+18.80% +7.38% +3.49% -3.66% +9.40% 0.97%
均衡基金 混合资产 23.060
2024/10/31
+17.35% +6.66% +2.76% -4.12% +8.57% 1.42%
核心累积基金 混合资产 25.850
2024/10/31
+19.01% +6.16% +0.12% -2.56% +7.71% 0.77%
平稳基金 混合资产 12.430
2024/10/31
+10.88% +4.63% +1.14% -3.27% +2.90% 1.32%
65岁后基金 混合资产 13.210
2024/10/31
+10.92% +4.26% +0.08% -2.15% +2.56% 0.78%
环球债券基金 债券 11.250
2024/10/31
+7.45% +3.50% -0.35% -2.85% -1.32% 0.83%
保证基金 保证 10.240
2024/10/31
+4.81% +2.61% +1.09% -0.78% +2.61% 2.06%
强积金保守基金 强积金保守 13.810
2024/10/31
+3.99% +1.92% +0.88% +0.29% +3.29% 1.20%
智优逸欧洲股票追踪指数基金 股票 19.420
2024/10/31
+20.02% +1.52% -2.31% -4.66% +6.00% 0.94%
欧洲股票基金 股票 16.950
2024/10/31
+14.68% -1.22% -3.20% -4.83% +2.05% 1.34%

 滙丰强积金智选计划

亚洲均衡基金 股票 7.420
2024/10/31
+27.49% +19.29% +19.29% -3.39% +29.49% 0.90%
恒指基金 股票 23.080
2024/10/31
+22.70% +17.64% +17.52% -3.87% +22.90% 0.80%
智优逸北美股票追踪指数基金 股票 43.630
2024/10/31
+35.16% +12.68% +3.14% -0.82% +18.59% 0.81%
北美股票基金 股票 32.240
2024/10/31
+32.89% +12.10% +2.48% -0.80% +17.66% 1.31%
中港股票基金 股票 20.810
2024/10/31
+16.91% +11.70% +12.37% -6.97% +17.31% 1.52%
智优逸亚太股票追踪指数基金 股票 14.570
2024/10/31
+26.26% +10.30% +4.22% -4.58% +14.18% 0.90%
中国股票基金 股票 12.760
2024/10/31
+16.00% +10.19% +11.15% -7.33% +18.92% 1.53%
亚太股票基金 股票 32.670
2024/10/31
+26.63% +9.78% +3.58% -4.64% +14.79% 1.53%
环球股票基金 股票 24.830
2024/10/31
+27.53% +7.72% -0.08% -2.74% +12.97% 0.81%
增长基金 混合资产 24.540
2024/10/31
+20.53% +7.49% +3.41% -4.51% +11.09% 1.52%
智优逸均衡基金 混合资产 16.300
2024/10/31
+18.80% +7.38% +3.49% -3.66% +9.40% 0.97%
均衡基金 混合资产 23.060
2024/10/31
+17.35% +6.66% +2.76% -4.12% +8.57% 1.42%
核心累积基金 混合资产 25.850
2024/10/31
+19.01% +6.16% +0.12% -2.56% +7.71% 0.77%
平稳基金 混合资产 12.430
2024/10/31
+10.88% +4.63% +1.14% -3.27% +2.90% 1.32%
65岁后基金 混合资产 13.210
2024/10/31
+10.92% +4.26% +0.08% -2.15% +2.56% 0.77%
环球债券基金 债券 11.250
2024/10/31
+7.45% +3.50% -0.35% -2.85% -1.32% 0.83%
保证基金 保证 10.240
2024/10/31
+4.81% +2.61% +1.09% -0.78% +2.61% 2.06%
强积金保守基金 强积金保守 13.810
2024/10/31
+3.99% +1.92% +0.88% +0.29% +3.29% 1.20%
智优逸欧洲股票追踪指数基金 股票 19.420
2024/10/31
+20.02% +1.52% -2.31% -4.66% +6.00% 0.94%
欧洲股票基金 股票 16.950
2024/10/31
+14.68% -1.22% -3.20% -4.83% +2.05% 1.34%

 宏利环球精选(强积金)计划

宏利 MPF 恒指ESG基金 股票 12.043
2024/10/31
+10.33% +17.54% +22.25% -4.61% +13.13% 0.99%
宏利MPF香港股票基金 股票 19.082
2024/10/31
+15.84% +13.29% +15.09% -4.92% +16.96% 1.78%
宏利MPF中华威力基金 股票 23.566
2024/10/31
+20.10% +12.96% +13.59% -3.34% +15.55% 1.98%
宏利MPF北美股票基金 股票 31.586
2024/10/31
+36.06% +11.52% +1.43% -1.03% +17.78% 1.77%
宏利MPF 2040退休基金 混合资产 17.529
2024/10/31
+24.72% +9.87% +5.36% -4.05% +14.05% 1.08%
宏利MPF 2045退休基金 混合资产 17.701
2024/10/31
+24.68% +9.83% +5.38% -4.03% +14.00% 1.05%
宏利MPF 2035退休基金 混合资产 17.223
2024/10/31
+23.15% +9.12% +4.58% -3.93% +12.39% 1.07%
宏利MPF国际股票基金 股票 24.823
2024/10/31
+30.70% +8.88% +1.03% -2.47% +13.55% 1.79%
宏利MPF 2030退休基金 混合资产 16.454
2024/10/31
+21.04% +8.39% +3.72% -3.56% +10.72% 1.07%
宏利MPF亚太股票基金 股票 32.356
2024/10/31
+26.30% +8.13% +2.77% -4.59% +14.43% 1.81%
宏利MPF进取基金 混合资产 23.172
2024/10/31
+21.96% +7.58% +3.69% -4.32% +10.81% 1.80%
宏利MPF核心累积基金 混合资产 15.549
2024/10/31
+20.50% +7.12% +1.28% -1.94% +8.89% 0.75%
宏利MPF 2025退休基金 混合资产 14.981
2024/10/31
+17.41% +7.05% +2.74% -2.83% +8.42% 1.07%
宏利MPF富达增长基金 混合资产 32.310
2024/10/31
+21.73% +6.98% +2.98% -4.74% +10.91% 1.79%
宏利MPF增长基金 混合资产 21.819
2024/10/31
+18.32% +6.59% +2.93% -3.89% +8.54% 1.79%
宏利MPF日本股票基金 股票 20.069
2024/10/31
+29.74% +6.51% -2.13% -3.27% +16.29% 1.76%
宏利 MPF 智优裕退休基金 混合资产 13.333
2024/10/31
+15.76% +6.40% +2.29% -2.57% +7.25% 1.06%
宏利MPF稳健基金 保证 15.788
2024/10/31
+12.01% +5.84% +2.16% -2.48% +5.53% 1.78%
宏利MPF富达平稳增长基金 混合资产 22.130
2024/10/31
+14.56% +4.83% +1.07% -4.09% +5.17% 1.79%
宏利MPF香港债券基金 债券 15.196
2024/10/31
+8.69% +4.74% +0.50% -1.28% +3.27% 1.18%
宏利MPF 65岁后基金 混合资产 11.511
2024/10/31
+10.67% +4.25% +0.50% -1.68% +2.91% 0.76%
宏利 MPF 可持续亚太债券基金 债券 11.447
2024/10/31
+9.55% +4.22% +0.53% -1.73% +2.82% 1.26%
宏利 MPF 人民币债券基金 债券 11.702
2024/10/31
+7.27% +3.43% +1.67% -1.31% +3.35% 1.21%
宏利MPF退休收益基金 混合资产 8.762
2024/10/31
+9.17% +3.33% +0.11% -2.82% +1.93% 1.36%
宏利MPF国际债券基金 债券 15.023
2024/10/31
+6.94% +3.23% -0.39% -3.29% -1.50% 1.18%
宏利MPF保守基金 强积金保守 12.216
2024/10/31
+3.95% +1.85% +0.85% +0.24% +3.24% 1.01%
宏利MPF康健护理基金 股票 30.649
2024/10/31
+14.77% +1.59% -4.38% -4.91% +5.12% 1.91%
宏利MPF欧洲股票基金 股票 16.162
2024/10/31
+21.10% -2.10% -4.82% -6.62% -0.01% 1.80%
宏利MPF利息基金 保证 N/A
N/A N/A N/A N/A N/A 1.76%

 万全强制性公积金计划

香港股票基金 股票 12.342
2024/10/31
+15.36% +14.12% +16.03% -5.07% +18.43% 1.49%
美国股票基金 股票 38.913
2024/10/31
+34.77% +12.41% +2.97% -1.00% +18.20% 1.09%
大中华股票基金 股票 16.720
2024/10/31
+19.12% +11.35% +14.52% -3.97% +14.28% 1.55%
亚太股票基金 股票 16.133
2024/10/31
+24.57% +9.61% +4.48% -4.65% +13.74% 1.75%
环球证券基金 股票 40.247
2024/10/31
+29.72% +9.06% +1.52% -2.25% +14.02% 1.64%
环球增值基金 混合资产 26.562
2024/10/31
+18.02% +7.19% +3.22% -3.81% +9.36% 1.52%
核心累积基金 混合资产 15.530
2024/10/31
+21.81% +7.01% +0.87% -2.05% +9.82% 0.84%
环球均衡基金 混合资产 22.652
2024/10/31
+14.79% +6.14% +2.36% -3.48% +6.48% 1.52%
亚洲债券基金 债券 26.402
2024/10/31
+9.49% +4.67% +0.55% -1.62% +2.67% 1.64%
65岁后基金 混合资产 11.570
2024/10/31
+11.61% +4.30% +0.07% -1.86% +3.33% 0.85%
保证基金 保证 10.299
2024/10/31
+9.25% +3.98% +1.12% -3.26% +2.03% 3.37%
环球债券基金 债券 11.791
2024/10/31
+7.95% +2.97% -0.68% -3.89% -1.57% 1.56%
强积金保守基金 强积金保守 11.778
2024/10/31
+3.53% +1.62% +0.79% +0.23% +2.86% 0.91%
欧洲股票基金 股票 14.151
2024/10/31
+21.22% -0.04% -3.75% -5.34% +6.83% 1.71%

 信安强积金计划800系列

信安恒指基金 - N类单位 股票 12.832
2024/10/31
+22.28% +17.71% +17.18% -3.45% +22.80% 0.95%
信安中国股票基金 - D类单位 股票 12.616
2024/10/31
+17.47% +15.33% +17.44% -3.82% +21.28% 1.33%
信安中国股票基金 - I类单位 股票 12.057
2024/10/31
+17.24% +15.22% +17.38% -3.83% +21.09% 1.52%
信安香港股票基金 - D类单位 股票 22.746
2024/10/31
+16.68% +14.27% +15.56% -4.42% +18.00% 1.30%
信安香港股票基金 - I类单位 股票 22.234
2024/10/31
+16.57% +14.21% +15.53% -4.43% +17.90% 1.40%
信安美国股票基金 - D类单位 股票 34.631
2024/10/31
+34.24% +12.21% +2.90% -0.96% +18.60% 1.31%
信安美国股票基金 - I类单位 股票 33.113
2024/10/31
+33.98% +12.11% +2.85% -0.98% +18.42% 1.50%
信安亚洲股票基金 - D类单位 股票 48.895
2024/10/31
+26.27% +9.90% +3.26% -3.09% +13.93% 1.35%
信安亚洲股票基金 - I类单位 股票 46.733
2024/10/31
+26.03% +9.79% +3.21% -3.11% +13.75% 1.54%
信安进取策略基金 - D类单位 混合资产 26.622
2024/10/31
+22.09% +7.87% +3.57% -3.53% +12.11% 1.32%
信安进取策略基金 - I类单位 混合资产 26.194
2024/10/31
+21.85% +7.77% +3.52% -3.55% +11.92% 1.52%
信安环球增长基金 - D类单位 混合资产 27.917
2024/10/31
+18.76% +6.84% +2.72% -3.56% +9.14% 1.32%
信安环球增长基金 - I类单位 混合资产 27.117
2024/10/31
+18.52% +6.74% +2.67% -3.58% +8.96% 1.52%
信安长线增值基金 - D类单位 混合资产 21.311
2024/10/31
+15.66% +5.83% +1.79% -3.59% +6.14% 1.32%
信安长线增值基金 - I类单位 混合资产 20.700
2024/10/31
+15.43% +5.72% +1.74% -3.61% +5.96% 1.52%
信安核心累积基金 - N类单位 混合资产 15.325
2024/10/31
+19.96% +5.66% +0.52% -2.27% +8.45% 0.82%
信安亚洲债券基金 - N类单位 债券 9.726
2024/10/31
+10.13% +4.92% +0.64% -1.63% +3.12% 1.04%
信安平稳回报基金 - D类单位 混合资产 18.681
2024/10/31
+12.31% +4.75% +0.96% -3.44% +3.38% 1.32%
信安香港债券基金 - N类单位 债券 11.584
2024/10/31
+8.50% +4.71% +0.69% -1.17% +3.51% 1.05%
信安平稳回报基金 - I类单位 混合资产 18.147
2024/10/31
+12.08% +4.64% +0.90% -3.45% +3.21% 1.52%
信安65岁后基金 - N类单位 混合资产 11.704
2024/10/31
+11.35% +3.97% +0.18% -2.00% +3.23% 0.81%
信安国际股票基金 - D类单位 股票 27.563
2024/10/31
+24.28% +3.09% -3.02% -3.67% +10.25% 1.34%
信安国际债券基金 - D类单位 债券 15.907
2024/10/31
+8.23% +3.09% -0.62% -3.93% -1.37% 1.32%
信安国际债券基金 - I类单位 债券 15.735
2024/10/31
+8.22% +3.09% -0.62% -3.93% -1.37% 1.32%
信安国际股票基金 - I类单位 股票 26.349
2024/10/31
+24.04% +2.99% -3.07% -3.69% +10.07% 1.53%
信安港元储蓄基金 - D类单位 其他 11.993
2024/10/31
+4.62% +2.53% +0.83% -0.26% +3.48% 1.00%
信安港元储蓄基金 - I类单位 其他 11.920
2024/10/31
+4.58% +2.51% +0.82% -0.27% +3.45% 1.04%
信安强积金保守基金 - N类单位 强积金保守 12.285
2024/10/31
+3.73% +1.71% +0.80% +0.22% +2.99% 1.00%

 宏利退休精选(强积金)计划

安联香港基金 - 单位T 股票 56.385
2024/10/31
+15.11% +13.80% +15.64% -5.38% +18.16% 1.20%
安联香港基金 - 单位B 股票 55.262
2024/10/31
+15.07% +13.78% +15.63% -5.38% +18.12% 1.23%
安联香港基金 - 单位A 股票 50.174
2024/10/31
+14.84% +13.66% +15.57% -5.40% +17.93% 1.43%
安联大中华基金 - 单位T 股票 29.573
2024/10/31
+16.77% +12.23% +11.84% -3.58% +14.24% 1.24%
安联大中华基金 - 单位B 股票 30.670
2024/10/31
+16.73% +12.21% +11.83% -3.58% +14.21% 1.27%
安联大中华基金 - 单位A 股票 25.137
2024/10/31
+16.50% +12.10% +11.78% -3.60% +14.02% 1.47%
安联增长基金 - 单位T 混合资产 48.457
2024/10/31
+21.80% +8.35% +3.93% -4.15% +12.52% 1.24%
安联增长基金 - 单位B 混合资产 47.416
2024/10/31
+21.77% +8.34% +3.93% -4.16% +12.49% 1.27%
安联增长基金 - 单位A 混合资产 45.736
2024/10/31
+21.52% +8.23% +3.87% -4.17% +12.30% 1.47%
安联均衡基金 - 单位T 混合资产 42.795
2024/10/31
+18.32% +7.32% +3.23% -3.83% +9.61% 1.24%
安联均衡基金 - 单位B 混合资产 42.155
2024/10/31
+18.28% +7.30% +3.22% -3.83% +9.58% 1.27%
安联均衡基金 - 单位A 混合资产 40.875
2024/10/31
+18.05% +7.20% +3.17% -3.84% +9.40% 1.47%
安联强积金核心累积基金 - 单位T 混合资产 15.764
2024/10/31
+21.39% +7.06% +0.89% -2.00% +10.22% 0.79%
安联强积金核心累积基金 - 单位A 混合资产 15.393
2024/10/31
+21.38% +7.06% +0.89% -2.00% +10.22% 0.79%
安联强积金核心累积基金 - 单位B 混合资产 15.764
2024/10/31
+21.39% +7.06% +0.89% -2.00% +10.22% 0.79%
安联稳定增长基金 - 单位T 混合资产 38.107
2024/10/31
+15.06% +6.23% +2.39% -3.49% +6.69% 1.24%
安联稳定增长基金 - 单位B 混合资产 36.884
2024/10/31
+15.02% +6.21% +2.38% -3.49% +6.66% 1.27%
安联稳定增长基金 - 单位A 混合资产 35.446
2024/10/31
+14.79% +6.11% +2.33% -3.50% +6.49% 1.47%
安联亚洲基金 - 单位T 股票 66.575
2024/10/31
+17.33% +6.04% +2.71% -4.86% +6.78% 1.21%
安联亚洲基金 - 单位B 股票 65.729
2024/10/31
+89.83% +6.02% +2.70% -4.86% +6.75% 1.24%
安联亚洲基金 - 单位A 股票 59.862
2024/10/31
+17.06% +5.91% +2.65% -4.87% +6.57% 1.44%
安联稳定资本基金 - 单位T 混合资产 31.985
2024/10/31
+11.52% +5.04% +1.61% -3.14% +3.81% 1.25%
安联稳定资本基金 - 单位B 混合资产 31.059
2024/10/31
+11.49% +5.02% +1.60% -3.14% +3.78% 1.28%
安联稳定资本基金 - 单位A 混合资产 29.914
2024/10/31
+11.27% +4.92% +1.55% -3.16% +3.61% 1.48%
安联强积金65岁后基金 - 单位T 混合资产 11.500
2024/10/31
+11.23% +4.51% +0.41% -2.01% +3.54% 0.78%
安联强积金65岁后基金 - 单位B 混合资产 11.500
2024/10/31
+11.23% +4.51% +0.41% -2.01% +3.54% 0.77%
安联强积金65岁后基金 - 单位A 混合资产 11.279
2024/10/31
+11.22% +4.51% +0.41% -2.01% +3.53% 0.77%
安联东方太平洋基金 - 单位T 混合资产 47.259
2024/10/31
+23.77% +4.19% +2.20% -4.01% +7.29% 1.36%
安联东方太平洋基金 - 单位B 混合资产 47.155
2024/10/31
+23.73% +4.17% +2.19% -4.02% +7.27% 1.39%
安联东方太平洋基金 - 单位A 混合资产 40.812
2024/10/31
+23.48% +4.07% +2.14% -4.03% +7.09% 1.59%
安联灵活均衡基金 - 单位T 混合资产 28.503
2024/10/31
+8.12% +2.52% +0.06% -1.36% +3.61% 1.23%
安联灵活均衡基金 - 单位B 混合资产 28.028
2024/10/31
+8.08% +2.50% +0.06% -1.36% +3.59% 1.26%
安联灵活均衡基金 - 单位A 混合资产 26.921
2024/10/31
+7.87% +2.40% +0.01% -1.38% +3.41% 1.47%
安联人民币货币市场基金 - 单位T 货币市场 15.367
2024/10/31
+3.54% +1.60% +0.95% -1.05% +1.25% 1.19%
安联人民币货币市场基金 - 单位B 货币市场 15.323
2024/10/31
+3.51% +1.59% +0.94% -1.06% +1.22% 1.22%
安联人民币货币市场基金 - 单位A 货币市场 15.314
2024/10/31
+3.51% +1.59% +0.94% -1.06% +1.22% 1.22%
安联强积金保守基金 - 单位T 强积金保守 18.243
2024/10/31
+3.46% +1.59% +0.77% +0.22% +2.80% 1.53%
安联强积金保守基金 - 单位A 强积金保守 17.869
2024/10/31
+3.43% +1.58% +0.76% +0.22% +2.78% 1.68%
安联强积金保守基金 - 单位B 强积金保守 17.878
2024/10/31
+3.43% +1.58% +0.76% +0.22% +2.78% 1.61%

 新地强积金雇主营办计划

新地强积金基金 混合资产 34.880
2024/10/31
+24.65% +11.66% +8.18% +0.22% +10.44% 0.67%
安联精选均衡基金 混合资产 39.720
2024/10/31
+18.46% +7.41% +3.28% -3.78% +9.78% 0.97%
施罗德强积金核心累积基金 混合资产 15.496
2024/10/31
+20.83% +7.02% +1.14% -1.88% +9.22% 0.61%
富达均衡基金 混合资产 233.500
2024/10/31
+18.70% +6.41% +2.41% -4.22% +8.78% 0.97%
安联精选稳定增长基金 混合资产 25.880
2024/10/31
+15.18% +6.33% +2.45% -3.43% +6.90% 0.98%
富达稳定增长基金 混合资产 206.680
2024/10/31
+15.42% +5.29% +1.32% -3.97% +5.93% 0.99%
景顺环球稳定基金 混合资产 11.799
2024/10/31
+11.75% +4.85% +0.88% -3.51% +3.05% 0.84%
施罗德强积金65岁后基金 混合资产 11.557
2024/10/31
+11.22% +4.40% +0.50% -1.62% +3.33% 0.64%
宏利在职平均回报保证基金 - 新地 保证 12.655
2024/10/31
+7.37% +3.19% +0.09% -1.16% +2.30% 2.29%
景顺強积金保守基金 强积金保守 12.259
2024/10/31
+3.84% +1.79% +0.81% +0.24% +3.10% 0.99%

 永明彩虹强积金计划

永明富时强积金香港指数基金 - B 股票 1.089
2024/10/31
+20.76% +16.89% +18.04% -4.78% +20.60% 0.93%
永明富时强积金香港指数基金 - A 股票 1.089
2024/10/31
+20.76% +16.89% +18.04% -4.78% +20.60% 0.93%
永明强积金美国及香港股票基金 股票 1.225
2024/10/31
N/A +13.34% +7.38% -2.00% +18.92% N/A
永明强积金大中华股票基金 - B 股票 1.348
2024/10/31
+18.93% +11.63% +11.48% -3.46% +14.85% 1.90%
永明强积金香港股票基金 - B 股票 5.748
2024/10/31
+12.11% +11.62% +14.96% -4.68% +13.29% 1.57%
永明强积金大中华股票基金 - A 股票 1.305
2024/10/31
+18.70% +11.51% +11.43% -3.48% +14.66% 2.10%
永明强积金香港股票基金 - A 股票 5.492
2024/10/31
+11.89% +11.50% +14.90% -4.70% +13.10% 1.77%
永明强积金美国股票基金 股票 1.276
2024/10/31
+34.09% +11.29% +3.00% -0.95% +17.25% N/A
永明强积金环球低碳指数基金 股票 1.193
2024/10/31
+25.61% +9.68% +2.13% -1.49% +12.57% N/A
永明强积金核心累积基金 混合资产 1.530
2024/10/31
+20.82% +6.99% +1.11% -1.91% +9.16% 0.76%
永明强积金行业股票基金 - B 股票 2.116
2024/10/31
+24.50% +6.51% +0.36% -2.33% +9.67% 1.62%
永明强积金行业股票基金 - A 股票 2.047
2024/10/31
+24.25% +6.41% +0.30% -2.34% +9.49% 1.82%
永明强积金亚洲股票基金 - B 股票 1.697
2024/10/31
+17.35% +5.38% +1.47% -4.54% +7.94% 1.76%
永明强积金亚洲股票基金 - A 股票 1.641
2024/10/31
+17.12% +5.27% +1.42% -4.56% +7.76% 1.96%
永明强积金65岁后基金 混合资产 1.146
2024/10/31
+11.23% +4.39% +0.46% -1.66% +3.24% 0.75%
永明强积金港元债券基金 - B 债券 1.485
2024/10/31
+7.91% +4.28% +0.57% -1.17% +2.85% 1.61%
永明强积金港元债券基金 - A 债券 1.419
2024/10/31
+7.74% +4.22% +0.56% -1.17% +2.71% 1.81%
永明强积金增长基金 - B 混合资产 3.221
2024/10/31
+14.59% +4.14% +1.51% -3.38% +5.54% 1.65%
永明强积金增长基金 - A 混合资产 3.077
2024/10/31
+14.36% +4.04% +1.46% -3.40% +5.36% 1.85%
永明强积金均衡基金 - B 混合资产 2.678
2024/10/31
+12.42% +3.89% +0.93% -3.31% +3.57% 1.65%
永明强积金均衡基金 - A 混合资产 2.558
2024/10/31
+12.20% +3.78% +0.88% -3.33% +3.40% 1.85%
永明强积金平稳基金 - B 混合资产 2.176
2024/10/31
+10.07% +3.46% +0.30% -3.22% +1.45% 1.64%
永明强积金平稳基金 - A 混合资产 2.078
2024/10/31
+9.85% +3.36% +0.24% -3.24% +1.28% 1.84%
永明强积金环球债券基金 - B 债券 0.924
2024/10/31
+6.94% +2.99% -0.58% -3.05% -1.44% 1.62%
永明强积金环球债券基金 - A 债券 0.897
2024/10/31
+6.73% +2.88% -0.63% -3.07% -1.60% 1.82%
永明强积金人民币及港元基金 - B 货币市场 1.085
2024/10/31
+3.90% +1.86% +1.11% -1.08% +1.50% 1.19%
永明强积金人民币及港元基金 - A 货币市场 1.079
2024/10/31
+3.85% +1.83% +1.10% -1.08% +1.45% 1.24%
永明强积金保守基金 - B 强积金保守 1.214
2024/10/31
+3.75% +1.72% +0.81% +0.25% +3.06% 0.89%
永明强积金保守基金 - A 强积金保守 1.209
2024/10/31
+3.76% +1.72% +0.82% +0.25% +3.06% 0.89%
永明强积金欧洲股票基金 股票 1.082
2024/10/31
+17.64% -0.05% -3.36% -5.33% +4.46% N/A

 信安强积金 - 易富之选

信安动力香港股票基金 股票 22.270
2024/10/31
+15.57% +14.21% +15.51% -3.88% +17.03% 1.66%
信安动力亚太股票基金 股票 17.710
2024/10/31
+32.16% +11.81% +3.87% -3.28% +17.52% 1.87%
信安动力环球股票基金 股票 18.750
2024/10/31
+28.16% +8.01% +1.41% -2.04% +13.71% 1.84%
信安增长基金 混合资产 22.160
2024/10/31
+22.09% +7.83% +3.55% -3.65% +11.92% 1.74%
信安均衡基金 混合资产 19.050
2024/10/31
+18.40% +6.78% +2.81% -3.35% +9.17% 1.74%
信安核心累积基金 混合资产 15.000
2024/10/31
+19.90% +5.63% +0.47% -2.28% +8.46% 0.87%
信安平稳基金 混合资产 13.150
2024/10/31
+11.06% +4.53% +1.08% -2.81% +3.71% 1.72%
信安65岁后基金 混合资产 11.520
2024/10/31
+11.09% +3.97% +0.17% -2.04% +3.23% 0.97%
信安动力环球债券基金 债券 9.540
2024/10/31
+6.47% +3.25% -0.63% -3.44% -1.75% 1.60%
信安 - 强积金保守基金 强积金保守 11.500
2024/10/31
+3.70% +1.77% +0.79% +0.17% +3.05% 1.16%

 信安强积金 - 明智之选

信安 - 恒指基金 股票 10.620
2024/10/31
+22.21% +17.61% +17.22% -3.19% +22.63% 1.09%
信安动力香港股票基金 股票 9.680
2024/10/31
+15.38% +14.15% +15.38% -3.87% +16.91% 1.65%
信安动力亚太股票基金 股票 15.980
2024/10/31
+32.07% +11.75% +3.83% -3.27% +17.50% 1.85%
信安动力大中华股票基金 股票 19.210
2024/10/31
+17.56% +10.66% +12.60% -2.49% +14.41% 1.47%
信安动力环球股票基金 股票 20.740
2024/10/31
+28.18% +8.08% +1.47% -1.98% +13.77% 1.81%
信安增长基金 混合资产 23.260
2024/10/31
+22.04% +7.78% +3.52% -3.69% +11.88% 1.74%
信安均衡基金 混合资产 21.060
2024/10/31
+18.31% +6.74% +2.78% -3.39% +9.12% 1.72%
信安核心累积基金 混合资产 15.180
2024/10/31
+19.81% +5.56% +0.46% -2.32% +8.43% 0.84%
信安平稳基金 混合资产 16.690
2024/10/31
+11.04% +4.57% +1.09% -2.80% +3.73% 1.70%
信安动力亚洲债券基金 债券 9.930
2024/10/31
+8.52% +4.42% +0.40% -1.78% +1.74% 1.43%
信安65岁后基金 混合资产 11.660
2024/10/31
+11.26% +4.01% +0.17% -1.93% +3.28% 0.84%
信安动力环球债券基金 债券 8.430
2024/10/31
+6.71% +3.31% -0.71% -3.44% -1.75% 1.56%
信安流动基金 货币市场 12.250
2024/10/31
+4.52% +2.34% +0.82% -0.16% +3.46% 1.00%
信安 - 强积金保守基金 强积金保守 11.840
2024/10/31
+3.68% +1.72% +0.77% +0.17% +3.05% 1.01%

 BCT强积金策略计划

景顺恒指基金 - 单位类别 H 股票 10.636
2024/10/31
+22.62% +17.84% +17.28% -3.50% +23.03% 0.79%
景顺恒指基金 - 单位类别 A 股票 10.586
2024/10/31
+22.57% +17.82% +17.27% -3.50% +22.99% 0.83%
景顺美国追踪指数基金 - 单位类别 H 股票 12.834
2024/10/31
+36.40% +11.89% +3.11% -0.24% +18.21% N/A
景顺美国追踪指数基金 - 单位类别 A 股票 12.834
2024/10/31
+36.40% +11.89% +3.11% -0.24% +18.21% N/A
景顺中港股票基金 - 单位类别 H 股票 31.055
2024/10/31
+11.95% +10.94% +13.33% -5.73% +14.83% 1.14%
景顺中港股票基金 - 单位类别 A 股票 31.131
2024/10/31
+11.81% +10.87% +13.29% -5.74% +14.71% 1.26%
景顺环球追踪指数基金 - 单位类别 A 股票 12.270
2024/10/31
+31.61% +9.28% +1.86% -1.64% +14.14% N/A
景顺环球追踪指数基金 - 单位类别 H 股票 12.270
2024/10/31
+31.61% +9.28% +1.86% -1.64% +14.14% N/A
景顺亚洲股票基金 - 单位类别 H 股票 11.450
2024/10/31
+19.31% +8.10% +2.57% -3.63% +9.40% 1.20%
景顺亚洲股票基金 - 单位类别 A 股票 11.503
2024/10/31
+19.18% +8.04% +2.54% -3.64% +9.29% 1.32%
景顺核心累积基金 - 单位类别 A 混合资产 15.649
2024/10/31
+21.92% +7.06% +0.89% -2.06% +9.90% 0.80%
景顺核心累积基金 - 单位类别 H 混合资产 15.649
2024/10/31
+21.92% +7.06% +0.89% -2.06% +9.90% 0.80%
景顺增长基金 - 单位类别 H 股票 27.456
2024/10/31
+19.27% +7.00% +3.13% -4.05% +9.49% 1.17%
景顺增长基金 - 单位类别 A 股票 26.367
2024/10/31
+19.12% +6.94% +3.10% -4.06% +9.38% 1.29%
景顺均衡基金 - 单位类别 H 混合资产 25.523
2024/10/31
+16.25% +6.17% +2.29% -3.79% +6.93% 1.16%
景顺均衡基金 - 单位类别 A 混合资产 24.072
2024/10/31
+16.11% +6.10% +2.26% -3.80% +6.82% 1.28%
景顺资本稳定基金 - 单位类别 H 混合资产 21.695
2024/10/31
+11.40% +4.66% +0.76% -3.50% +2.74% 1.15%
景顺资本稳定基金 - 单位类别 A 混合资产 20.867
2024/10/31
+11.27% +4.60% +0.73% -3.51% +2.64% 1.27%
景顺65岁后基金 - 单位类别 H 混合资产 11.605
2024/10/31
+11.71% +4.38% +0.12% -1.86% +3.39% 0.80%
景顺65岁后基金 - 单位类别 A 混合资产 11.605
2024/10/31
+11.71% +4.38% +0.12% -1.86% +3.39% 0.79%
景顺环球债券基金 - 单位类别 H 债券 15.255
2024/10/31
+7.72% +3.42% -0.49% -3.31% -0.44% 1.14%
景顺环球债券基金 - 单位类别 A 债券 14.841
2024/10/31
+7.60% +3.36% -0.52% -3.32% -0.53% 1.26%
景顺人民币债券基金 - 单位类别 H 债券 10.594
2024/10/31
+5.65% +2.95% +1.91% -1.21% +2.75% 1.13%
景顺人民币债券基金 - 单位类别 A 债券 10.445
2024/10/31
+5.51% +2.89% +1.89% -1.22% +2.65% 1.25%
景顺强积金保守基金 - 单位类别 A 强积金保守 12.877
2024/10/31
+3.80% +1.78% +0.84% +0.26% +3.08% 1.02%
景顺强积金保守基金 - 单位类别 H 强积金保守 12.875
2024/10/31
+3.80% +1.78% +0.84% +0.26% +3.08% 1.02%
营办机构平均 +16.99% +6.96% +3.56% -2.88% +9.15% 1.29%
成分基金 类别 价格 1年回报 6个月回报 3个月回报 1个月回报 本年迄今回报
开支比率 
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上述内容仅供参考之用,不得视为买卖任何所述基金的邀约或恳请。投资涉及风险,新兴市场的风险可能较已发展市场高。认购将只按照有关销售文件丶最近的年度财务报表及半年度财务报表(如在年度财务报表之後发布)进行。投资价值及来自投资价值的收益(如有)可能有波动性及会在短时间内大幅波动。过往业绩并非日後表现的指标。投资回报乃以基金的基本货币计值。因此,以美元/港元为基础的投资者须承受美元/港元/基本货币汇率的波动。

在作出任何投资之前, 阁下应详阅有关销售文件,尤其是投资政策及风险因素。 阁下应确保自己完全理解基金所附带的风险,并应考虑 阁下自身的投资目标及可承受的风险水平。谨提醒 阁下, 阁下须对所作出的投资决定负责。同时,除非向 阁下推介或出售基金投资的中介人已向 阁下提出有关基金乃适合 阁下的意见,并已向 阁下阐明理由,包括买入有关基金将如何与 阁下的投资目标一致,否则 阁下不应作出投资。如有疑问,请寻求独立财务及专业意见。

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