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國泰優選非投等債

00727B 成交量僅含一般交易、盤後定價交易
39.77
0.03 0.08%
練盤感零壓力!試試台指當沖模擬器

國泰優選非投等債(00727B) ETF持股分布

目前尚無相關資料
基金資產總淨值 (新台幣) 2,250,411,897
每單位淨值 (新台幣) 39.6975
在外流通單位數 56,689,000

債券持倉明細

2026/07/28
發行公司
票息率
到期日
面額
市值
權重
STAPLES INC BBG01MZLYJL3
10.75%2029/09/011,750,0001,741,0502.51%
VENTURE GLOBAL LNG INC BBG01JRWR409
9.5%2029/02/011,500,0001,679,1902.42%
NEPTUNE BIDCO US INC BBG01BCJPPT5
9.29%2029/04/151,525,0001,596,1382.3%
ROCKET SOFTWARE INC BBG01MFN4HD7
9%2028/11/281,470,0001,496,7122.16%
TENNECO INC BBG01HSWRV20
8%2028/11/171,400,0001,455,0932.1%
RAKUTEN GROUP INC BBG01M7V9D79
9.75%2029/04/151,300,0001,444,6312.08%
ION PLAT FIN US/SARL BBG01XRTDZT0
9.5%2029/05/301,500,0001,431,8372.06%
GRAY TELEVISION INC BBG01MZM3KN0
10.5%2029/07/151,335,0001,414,1382.04%
CONNECT FINCO SARL/CONNE BBG01PNMWYR0
9%2029/09/151,200,0001,299,1401.87%
NCR ATLEOS LLC BBG01JFJWRQ6
9.5%2029/04/011,110,0001,214,0161.75%
PRIME HEALTHCARE SERVICE BBG01P7T8F82
9.375%2029/09/011,100,0001,189,0211.71%
RR DONNELLEY & SONS CO BBG01NTC3J78
9.5%2029/08/011,000,0001,083,7801.56%
COREWEAVE INC BBG01V44TML4
9.25%2030/06/011,100,0001,032,6091.49%
ILIAD HOLDING SAS BBG012V276L1
7%2028/10/151,000,0001,023,6511.48%
PBF HOLDING CO LLC BBG01ST3VQ98
9.875%2030/03/15875,000967,3441.39%
BAUSCH & LOMB ESCROW COR BBG01J96XSH8
8.375%2028/10/01850,000896,9551.29%
US ACUTE CARE SOLUTIONS BBG01MNMH310
9.75%2029/05/15900,000859,1451.24%
EQUIPMENTSHARE.COM INC BBG01GHMSNB3
9%2028/05/15800,000830,5821.2%
SOTHEBY'S BBG021M98798
8.25%2031/04/15820,000828,7021.19%
CAPSTONE BORROWER INC BBG01GN8W638
8%2030/06/15850,000828,1031.19%
FREEDOM MORTGAGE HOLD BBG01L5SYSY9
9.25%2029/02/01750,000809,0231.17%
COOPER-STANDARD AUTOMOTI BBG020D26VJ3
9.25%2031/03/01750,000789,7881.14%
APH/APH2/APH3/AQUARIAN BBG01QGQTTZ3
7.875%2029/11/01750,000774,2041.12%
NGL ENRGY OP/FIN CORP BBG01L5JFPW8
8.125%2029/02/15700,000729,8961.05%
AP CORE HOLDINGS II LLC BBG0222TBHL4
11%2031/05/15680,000725,3591.05%
NEXTERA ENERGY OPERATING BBG01KFG6MG0
7.25%2029/01/15700,000724,7251.04%
COREWEAVE INC BBG01W8WR2B3
9%2031/02/01750,000702,0041.01%
KEHE DIST/FIN / NEXTWAVE BBG01L11TDC5
9%2029/02/15600,000649,3170.94%
AETHON UN/AETHIN UN FIN BBG01PXHHPM1
7.5%2029/10/01600,000638,2440.92%
DIRECTV FINANCING LLC BBG01KZHPV75
8.875%2030/02/01600,000635,2830.92%
MAUSER PACKAGING SOLUT BBG01YQ751S2
9.25%2030/04/15600,000608,2700.88%
TOUCAN FINCO LTD/CAN/US BBG01TRLYDG6
9.5%2030/05/15650,000603,6440.87%
UNIVISION COMMUNICATIONS BBG01802PSJ7
7.375%2030/06/30600,000601,5550.87%
MINERAL RESOURCES LTD BBG01JJHWN03
9.25%2028/10/01511,000541,9320.78%
ILIAD HOLDING SAS BBG01MNPY7J6
8.5%2031/04/15500,000538,7120.78%
NEPTUNE BIDCO US INC BBG01YBK7KL2
10.375%2031/05/15500,000535,3360.77%
MAUSER PACKAGING SOLUT BBG01YQ74FS2
7.875%2030/04/15500,000521,4540.75%
TRANSDIGM INC BBG01F6M8P06
6.75%2028/08/15500,000519,2570.75%
HUB INTERNATIONAL LTD BBG01GY3KTY6
7.25%2030/06/15500,000518,8390.75%
ZF NA CAPITAL BBG01X9TNCN6
7.5%2031/03/24500,000515,7150.74%
PARK RIVER HOLDINGS INC BBG01XF8C3M8
8%2031/03/15500,000514,0340.74%
CCO HLDGS LLC/CAP CORP BBG01DNBC4X2
7.375%2031/03/01500,000513,3950.74%
WINDSOR HOLDINGS III LLC BBG01H0CG0N1
8.5%2030/06/15450,000473,8260.68%
ALBION FINANCING 1SARL / BBG01TYXTNH5
7%2030/05/21450,000472,3200.68%
VALARIS LTD BBG01G4HH6H1
8.375%2030/04/30430,000454,7320.66%
CLEAR CHANNEL OUTDOOR HO BBG01LQ99Y46
7.875%2030/04/01420,000447,3750.64%
VERSANT MEDIA GROUP INC BBG01Y1WSH31
7.25%2031/01/30400,000434,8070.63%
SUMMIT MIDSTREAM HOLDING BBG01NTCKRW3
8.625%2029/10/31400,000431,6030.62%
EXCELERATE ENERGY LP BBG01TMM4S06
8%2030/05/15400,000427,2150.62%
DIEBOLD NIXDORF INC BBG01R6ZZB20
7.75%2030/03/31400,000425,8070.61%
RB GLOBAL HOLDINGS INC BBG01FP4C6V8
7.75%2031/03/15400,000425,2040.61%
WULF COMPUTE LLC BBG01XWZ1957
7.75%2030/10/15400,000423,6290.61%
NEWELL BRANDS INC BBG01TX7FQG2
8.5%2028/06/01400,000422,4070.61%
WAYFAIR LLC BBG01PZSLY23
7.25%2029/10/31400,000420,1960.61%
SMYRNA READY MIX CONCRET BBG00XZXRDY1
6%2028/11/01400,000405,9750.59%
BELLRING BRANDS INC BBG015KHBQZ9
7%2030/03/15400,000404,9120.58%
UKG INC BBG01L81BM19
6.875%2031/02/01400,000404,6740.58%
CLOUD SOFTWARE GRP INC BBG019LX2T70
6.5%2029/03/31400,000402,0740.58%
AVIANCA MIDCO 2 PLC BBG01S2T07B3
9.625%2030/02/14400,000401,6020.58%
CLYDESDALE ACQUISITION BBG016DMB5L5
8.75%2030/04/15400,000392,6330.57%
GLOBAL AIR LEASE CO LTD BBG01P6VXL50
8.75%2027/09/01350,000367,9120.53%
GRIFFON CORPORATION BBG00SSQR8D9
5.75%2028/03/01350,000358,6800.52%
NOBLE FINANCE II LLC BBG01G4DTL39
8%2030/04/15336,000354,6420.51%
SERVICE CORP INTL BBG00P345453
5.125%2029/06/01350,000349,4020.5%
SE COSMOS LLC BBG021ZT6N42
8.875%2031/05/01350,000345,0970.5%
LIFEPOINT HEALTH INC BBG01HQ2L6W6
9.875%2030/08/15300,000328,5730.47%
PARAMOUNT GLOBAL BBG00000WL60
7.875%2030/07/30300,000324,9030.47%
IRON MOUNTAIN INC BBG01GLDK491
7%2029/02/15300,000314,1150.45%
HERC HOLDINGS INC BBG01V25N8R4
7%2030/06/15300,000312,5680.45%
AMWINS GROUP INC BBG01LG6J572
6.375%2029/02/15300,000310,8290.45%
HERC HOLDINGS INC BBG01N615ND9
6.625%2029/06/15300,000308,0200.44%
ONEMAIN FINANCE CORP BBG01QLH2YN8
6.625%2029/05/15300,000307,3720.44%
FLASH COMPUTE LLC BBG01Z5L1Z91
7.25%2030/12/31300,000303,8180.44%
CRC INSURANCE GROUP LLC BBG01M46NGP4
7.125%2031/06/01300,000301,4820.43%
JEFFERIES FIN LLC / JFIN BBG011Y6SRS5
5%2028/08/15300,000297,5590.43%
MPT OPER PARTNERSP/FINL BBG00HNGKSH9
5%2027/10/15300,000295,0670.43%
SABRE GLBL INC BBG01V45GYS2
11.125%2030/07/15300,000281,8770.41%
AMERICAN AIRLINES/AADVAN BBG00ZKWV8L4
5.75%2029/04/20275,000275,1070.4%
ALLIED UNIVERSAL BBG01VC1RCB6
6.875%2030/06/15260,000267,6980.39%
NORTONLIFELOCK INC BBG019JB3S63
6.75%2027/09/30250,000255,6790.37%
TENET HEALTHCARE CORP BBG00X2SD758
6.125%2028/10/01240,000245,2750.35%
MOHEGAN TRIBAL / MS DIG BBG01SX7X2C1
8.25%2030/04/15220,000234,6020.34%
ENDO FINANCE HOLDINGS LP BBG01MBN7NJ9
8.5%2031/04/15200,000215,0430.31%
RAND PARENT LLC BBG01F3MJ1C7
8.5%2030/02/15200,000213,5070.31%
ITHACA ENERGY NORTH BBG01Q75MTP7
8.125%2029/10/15200,000212,4150.31%
ADVANCE AUTO PARTS BBG01WBYRMF7
7%2030/08/01200,000211,7710.31%
CLARIOS GLOBAL LP/US FIN BBG01RQW2QW5
6.75%2030/02/15200,000211,6170.3%
NOVELIS INC BBG01RP24618
6.875%2030/01/30200,000211,5430.3%
ALCOA NEDERLAND HOLDING BBG01LW38YD3
7.125%2031/03/15200,000211,4020.3%
VENTURE GLOBAL LNG INC BBG01GNYBL31
8.375%2031/06/01200,000209,8030.3%
JANE STREET GRP/JSG FIN BBG01MGDZ2J1
7.125%2031/04/30200,000209,6450.3%
USA COM PART/USA COM FIN BBG01LTJ67L4
7.125%2029/03/15200,000209,3400.3%
ROCKET COS INC BBG01VCL4B29
6.125%2030/08/01200,000208,0900.3%
OLYMPUS WTR US HLDG CORP BBG01N5D6016
7.25%2031/06/15200,000206,7730.3%
NISSAN MOTOR CO BBG01W15W3K1
7.5%2030/07/17200,000205,7700.3%
AVIS BUDGET CAR/FINANCE BBG01K5613X1
8%2031/02/15200,000205,4090.3%
STENA INTERNATIONAL SA BBG01KXPP228
7.25%2031/01/15200,000204,8940.3%
ALLIANT HOLD / CO-ISSUER BBG01F3LQ818
6.75%2028/04/15200,000204,8740.3%
HOWDEN UK REFINANCE / US BBG01L81FSK1
7.25%2031/02/15200,000204,5290.29%
ARDONAGH FINCO LTD BBG01LC23V57
7.75%2031/02/15200,000204,2380.29%
BELRON UK FINANCE PLC BBG01Q32YVC4
5.75%2029/10/15200,000203,5220.29%
ALLIANT HOLD / CO-ISSUER BBG01KFFZM25
7%2031/01/15200,000203,3850.29%
CLOUD SOFTWARE GRP INC BBG01G4F7QQ2
9%2029/09/30200,000203,3680.29%
TENET HEALTHCARE CORP BBG017X6CMJ1
6.125%2030/06/15200,000202,8990.29%
ZF NA CAPITAL BBG01MG435M5
6.75%2030/04/23200,000202,5670.29%
UNITED RENTALS NORTH AM BBG00P0X05M5
5.25%2030/01/15200,000199,9190.29%
UNITED RENTALS NORTH AM BBG00HBP5MM6
4.875%2028/01/15200,000199,7480.29%
PG&E CORP BBG00VHHXL57
5%2028/07/01200,000198,7900.29%
TELENET FINANCE LUX NOTE BBG00JCPVKW5
5.5%2028/03/01200,000198,6970.29%
KEDRION SPA BBG01G94PHV6
6.5%2029/09/01200,000198,6650.29%
INTERNATIONAL GAME TECH BBG00VC8H4S3
5.25%2029/01/15200,000198,0430.29%
CONNECT HOLDING II LLC BBG01VNYCZN4
10.5%2031/04/03200,000197,6830.28%
ACRISURE LLC / FIN INC BBG01N5D3BJ6
7.5%2030/11/06200,000195,6560.28%
TRANSOCEAN INC BBG01CCXCFD5
8.75%2030/02/15175,000188,6590.27%
ZIGGO BV BBG00QL6KSS1
4.875%2030/01/15200,000186,8320.27%
UWM HOLDINGS LLC BBG01X56W7H8
6.25%2031/03/15200,000183,1100.26%
RESORTS WORLD/RWLV CAP BBG00NS2HX12
4.625%2029/04/16200,000182,7710.26%
VIRGIN MEDIA SECURED FIN BBG00P3B2R77
5.5%2029/05/15200,000177,6160.26%
SS&C TECHNOLOGIES INC BBG00NLCP5D6
5.5%2027/09/30174,000177,3470.26%
TENET HEALTHCARE CORP BBG01GHTZ486
6.75%2031/05/15160,000165,7610.24%
CLEVELAND-CLIFFS INC BBG01G6J3387
6.75%2030/04/15160,000164,3860.24%
SOLARIS ENERGY INFRASTRU BBG0223D2BR5
6.375%2031/05/15160,000159,8970.23%
SOTERA HEALTH HLDGS LLC BBG01N09MDD1
7.375%2031/06/01150,000157,6600.23%
ONEMAIN FINANCE CORP BBG01MS29238
7.5%2031/05/15150,000155,9630.22%
FORTRESS INTERMEDIATE BBG01MRBWSV5
7.5%2031/06/01150,000154,8330.22%
MCGRAW-HILL EDUCATION BBG011RJYG93
5.75%2028/08/01150,000153,1190.22%
TRAVEL + LEISURE CO BBG0227FFJN9
6.25%2031/06/01150,000152,2160.22%
ONEMAIN FINANCE CORP BBG00P35K1W9
6.625%2028/01/15150,000151,9230.22%
NRG ENERGY INC BBG00M546C59
5.75%2028/01/15150,000150,3710.22%
SIRIUS XM RADIO INC BBG00PC6Y303
5.5%2029/07/01150,000149,9770.22%
STINGRAY COMPUTE BBG022W37YY2
6%2031/06/15150,000147,8100.21%
FREEDOM MORTGAGE HOLD BBG01YVYYPS2
6.875%2031/05/01150,000147,4710.21%
FERTITTA ENTERTAINMENT BBG014H1PMT2
4.625%2029/01/15150,000146,0710.21%
GOODYEAR TIRE & RUBBER BBG016GDR0S9
5%2029/07/15150,000144,0740.21%
ONEMAIN FINANCE CORP BBG01WDPJ178
6.125%2030/05/15115,000115,6920.17%
MOLINA HEALTHCARE INC BBG01YLFDGK5
6.5%2031/02/15100,000105,5280.15%
TALLGRASS NRG PRTNR/FIN BBG01L0NM6M9
7.375%2029/02/15100,000105,5130.15%
SM ENERGY CO BBG01NWPRGD8
6.75%2029/08/01100,000104,6030.15%
PENNYMAC FIN SVCS INC BBG01KG345R5
7.875%2029/12/15100,000104,5970.15%
AMERICAN AIRLINES INC BBG01F5TZPJ2
7.25%2028/02/15100,000104,2620.15%
SUNOCO LP BBG01MG3M788
7%2029/05/01100,000103,9380.15%
WESCO DISTRIBUTION INC BBG01LQ9DTN1
6.375%2029/03/15100,000103,7970.15%
MILLROSE PROPERTIES INC BBG01WHXSV80
6.375%2030/08/01100,000103,7220.15%
TRANSDIGM INC BBG01LG68JB9
6.375%2029/03/01100,000103,7170.15%
ALBERTSONS COS/SAFEWAY BBG01F3N9MD9
6.5%2028/02/15100,000103,6170.15%
AXON ENTERPRISE INC BBG01SP67G21
6.125%2030/03/15100,000103,4470.15%
KENNEDY-WILSON INC BBG022874B37
7%2031/06/01100,000103,1460.15%
CLEVELAND-CLIFFS INC BBG01Q6VGF87
6.875%2029/11/01100,000102,9310.15%
MGM RESORTS INTL BBG01PKM5D71
6.125%2029/09/15100,000102,8890.15%
CLARIOS GLOBAL LP/US FIN BBG01G9RT324
6.75%2028/05/15100,000102,8010.15%
BLACK PEARL COMPUTE LLC BBG02008FYT7
6.125%2031/02/15100,000102,6910.15%
CYPRIUM CORP/CYPRIUM HOL BBG020S0L896
6.125%2031/04/15100,000102,2760.15%
ARAMARK SERVICES INC BBG00JQ9M6Y5
5%2028/02/01100,000102,2050.15%
BLOCK INC BBG01WNJ1571
5.625%2030/08/15100,000102,0310.15%
VENTURE GLOBAL CALCASIEU BBG01C9J5F48
6.25%2030/01/15100,000101,9740.15%
VENTURE GLOBAL LNG INC BBG01NXXCGF4
7%2030/01/15100,000101,9590.15%
BALL CORP BBG01GKRF8Q9
6%2029/06/15100,000101,8590.15%
ICAHN ENTERPRISES/FIN BBG01QSG6H47
10%2029/11/15100,000101,8120.15%
UNITED AIRLINES HOLDINGS BBG01ZVQ9919
5.375%2031/03/01100,000101,7150.15%
IRON MOUNTAIN INC BBG00JGL1FL6
5.25%2028/03/15100,000101,6120.15%
KODIAK GAS SERVICES LLC BBG020WW6JS3
5.875%2031/04/01100,000101,6020.15%
IRON MOUNTAIN INC BBG00HMVNND9
4.875%2027/09/15100,000101,5370.15%
CHURCHILL DOWNS INC BBG016G3V4Z0
5.75%2030/04/01100,000101,4540.15%
NEWELL BRANDS INC BBG01QK3QM78
6.375%2030/05/15100,000101,3880.15%
TENET HEALTHCARE CORP BBG00PYZJXT5
5.125%2027/11/01100,000101,2220.15%
SUNOCO LP BBG01X2KYL41
5.625%2031/03/15100,000101,1020.15%
DARLING INGREDIENTS INC BBG017WHYDF8
6%2030/06/15100,000101,0480.15%
CCO HLDGS LLC/CAP CORP BBG00HCXTNX8
5%2028/02/01100,000101,0460.15%
NESCO HOLDINGS II INC BBG00ZN9D3R7
5.5%2029/04/15100,000101,0130.15%
UNITED AIRLINES HOLDINGS BBG020089WG2
4.875%2029/03/01100,000100,9590.15%
KINETIK HOLDINGS LP BBG017X67B74
5.875%2030/06/15100,000100,9330.15%
MEDLINE BORROWER LP BBG012QCFXV6
5.25%2029/10/01100,000100,8920.15%
ENTEGRIS INC BBG0188MVFV2
5.95%2030/06/15100,000100,8370.15%
ESAB CORP BBG020YDJ6M3
5.625%2031/04/01100,000100,6130.14%
WYNN RESORTS FINANCE LLC BBG00Q78SDQ0
5.125%2029/10/01100,000100,5900.14%
EDGEWELL PERSONAL CARE BBG00TZL2RN4
5.5%2028/06/01100,000100,5580.14%
CLEARWAY ENERGY OP LLC BBG00R0XFC77
4.75%2028/03/15100,000100,4220.14%
MGM RESORTS INTL BBG00XT0RKR2
4.75%2028/10/15100,000100,3640.14%
BOYD GAMING CORP BBG00W7W40F0
4.75%2027/12/01100,000100,2920.14%
ENCOMPASS HEALTH CORP BBG00Q6XM151
4.75%2030/02/01100,000100,2140.14%
NRG ENERGY INC BBG01QKMY4C1
5.75%2029/07/15100,000100,1290.14%
CINEMARK USA INC BBG0118YRC70
5.25%2028/07/15100,00099,7010.14%
STANDARD INDUSTRIES INC BBG00JGG2FT8
4.75%2028/01/15100,00099,4210.14%
MIDAS OPCO HOLDINGS LLC BBG012368YD0
5.625%2029/08/15100,00099,0590.14%
HILTON DOMESTIC OPERATIN BBG00QHSNQY2
4.875%2030/01/15100,00099,0340.14%
AVANTOR FUNDING INC BBG00VXYXT19
4.625%2028/07/15100,00098,9610.14%
PG&E CORP BBG00VHHXLC9
5.25%2030/07/01100,00098,7060.14%
COHERENT CORP BBG013WSH5V1
5%2029/12/15100,00098,5990.14%
MERIDIAN ARC HOLDCO LLC BBG021N2KYD4
6.25%2031/04/30100,00098,5550.14%
NOVELIS CORP BBG00RCYYZ07
4.75%2030/01/30100,00098,5010.14%
CCO HLDGS LLC/CAP CORP BBG00P448RX7
5.375%2029/06/01100,00097,9540.14%
YUM! BRANDS INC BBG00Q5L8993
4.75%2030/01/15100,00097,7680.14%
POST HOLDINGS INC BBG00RPSLV45
4.625%2030/04/15100,00097,7360.14%
ALBERTSONS COS/SAFEWAY BBG00RHHWVB8
4.875%2030/02/15100,00097,7340.14%
NAVIENT CORP BBG0139MK2L4
5.5%2029/03/15100,00097,6980.14%
HILTON GRAND VAC BOR ESC BBG01136VQF1
5%2029/06/01100,00097,6960.14%
BOYD GAMING CORP BBG0116YL9Q4
4.75%2031/06/15100,00097,6210.14%
AMWINS GROUP INC BBG011RTXF58
4.875%2029/06/30100,00097,0480.14%
VISTAJET MALTA/VM HOLDS BBG014MRX6D2
6.375%2030/02/01100,00096,6220.14%
UWM HOLDINGS LLC BBG01R4Y0T51
6.625%2030/02/01100,00095,9390.14%
REWORLD HOLDING CORP BBG013JZ3796
4.875%2029/12/01100,00095,8810.14%
CCO HLDGS LLC/CAP CORP BBG00Q9KZKK3
4.75%2030/03/01100,00095,3320.14%
VIACOMCBS INC BBG00SW8BQR6
4.95%2031/01/15100,00092,2100.13%
SIRIUS XM RADIO INC BBG00H1H9HW1
5%2027/08/0183,00084,9220.12%

其他資產

項目金額
現金EUR16.88
現金TWD49,212,945
現金USD117,086.79

補充說明

*ETF並非單一股票或單一債券組合而成,而是一籃子投資標組合而成的,ETF成分股決定了ETF的價值,對於想要以低成本進行資產配置的投資人而言,深入了解基金組合比例是偏重股票、期貨、債券,再進一步分析股票型的產業分布、持股明細和持股權重比例,可掌握到底是哪些成分股的表現影響ETF成長或衰退,也可以在ETF選股時,盡可能避免購買單支成分股權重過高的ETF,較容易使投資風險過於集中。

主動式ETF,是一種基金經理人基於特定投資目標與策略,主動建構投資組合,並進行操作、調整,期能超越大盤指數等績效指標或達到特定投資目標,並在證券交易所上市交易的開放式基金。

資料來源:本站 ETF 持股分布資料來源為各投信公司官方網站、臺灣證券交易所及中華民國證券櫃檯買賣中心公開揭露之申購買回清單(PCF)與相關公告,於每個交易日收盤後彙整更新。部分資料因各投信公告時間不同,實際更新時間可能有所差異。

免責聲明:本站所有資料及分析內容僅供參考,不構成任何投資建議、要約或買賣依據。資料如有延遲、遺漏、錯誤或與各投信公司官方公告不符,一律以各投信公司官方網站公告為準。本站對因資料不完整或錯誤所導致之損失,不負任何法律責任。投資人應審慎評估自身風險承受能力,並自行承擔一切投資損益。

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