Trading Information
| Name | NAV/Index Price | Change | Day of TE (A) – (B) |
NAV * |
Change ** |
Acc. TE (C) – (D) |
Date |
|---|---|---|---|---|---|---|---|
| CSZSME | 17.65 | -1.01% (A) |
-0.11% | 17.16 | 2.86% (C) |
-0.62% | 2026-02-05 |
| SZSE SME PRICE INDEX (TWD) | 38438.80 | -0.90% (B) |
37147.76 | 3.48% (D) |
|||
| CSZSME | 17.65 | -1.01% (A) |
0.19% | 17.16 | 2.86% (C) |
0.92% | 2026-02-05 |
| SZSE SME PRICE INDEX (CNY) | 8423.99 | -1.20% (B) |
8263.86 | 1.94% (D) |
|||
| CNBI | 35.51 | -1.61% (A) |
0.07% | 34.65 | 2.48% (C) |
-0.09% | 2026-02-05 |
| NBI Index (TWD) | 183910.22 | -1.68% (B) |
179303.10 | 2.57% (D) |
|||
| CNBI | 35.51 | -1.61% (A) |
0.45% | 34.65 | 2.48% (C) |
0.75% | 2026-02-05 |
| NBI Index (USD) | 5805.98 | -2.06% (B) |
5707.20 | 1.73% (D) |
|||
| CTAIEX2X | 154.75 | -3.17% (A) |
-0.14% | 129.39 | 19.60% (C) |
-0.52% | 2026-02-05 |
| TAIEX Leveraged 2X Index (TWD) | 112206.97 | -3.03% (B) |
93408.99 | 20.12% (D) |
|||
| CTAIEX-1X | 1.47 | 1.38% (A) |
-0.13% | 1.62 | -9.26% (C) |
-0.01% | 2026-02-05 |
| TAIEX Inverse-1X Index (TWD) | 1909.00 | 1.51% (B) |
2103.64 | -9.25% (D) |
|||
| CDJUSREIT | 20.48 | 0.10% (A) |
-0.02% | 19.98 | 2.50% (C) |
-0.64% | 2026-02-05 |
| Dow Jones U.S. Real Estate Index (TWD) | 11563.96 | 0.12% (B) |
11211.47 | 3.14% (D) |
|||
| CDJUSREIT | 20.48 | 0.10% (A) |
0.36% | 19.98 | 2.50% (C) |
0.20% | 2026-02-05 |
| Dow Jones U.S. Real Estate Index (USD) | 365.07 | -0.26% (B) |
356.86 | 2.30% (D) |
|||
| CC8R0Telecom | 36.7962 | 1.12% (A) |
0.00% | 36.7376 | 1.59% (C) |
-0.04% | 2026-02-05 |
| ICE BofA 15+ Year US Telecommunications Index (TWD) | 40855.6700 | 1.12% (B) |
40201.9500 | 1.63% (D) |
|||
| CC8R0Telecom | 36.7962 | 1.12% (A) |
0.39% | 36.7376 | 1.59% (C) |
0.79% | 2026-02-05 |
| ICE BofA 15+ Year US Telecommunications Index (USD) | 1289.7990 | 0.73% (B) |
1279.6240 | 0.80% (D) |
|||
| CC8TEIT | 31.5443 | 0.85% (A) |
0.02% | 31.4754 | 1.64% (C) |
-0.10% | 2026-02-05 |
| ICE BofA 15+ Year US TECHNOLOGY & ELECTRONICS Index (TWD) | 13113.0400 | 0.83% (B) |
12888.7900 | 1.74% (D) |
|||
| CC8TEIT | 31.5443 | 0.85% (A) |
0.40% | 31.4754 | 1.64% (C) |
0.73% | 2026-02-05 |
| ICE BofA 15+ Year US TECHNOLOGY & ELECTRONICS Index (USD) | 413.9740 | 0.45% (B) |
410.2490 | 0.91% (D) |
|||
| CC9P0Bank | 34.6707 | 1.05% (A) |
-0.02% | 34.6483 | 1.46% (C) |
-0.02% | 2026-02-05 |
| ICE BofA 10+ Year US Banking and Brokerage Index (TWD) | 46656.3400 | 1.07% (B) |
45974.4100 | 1.48% (D) |
|||
| CC9P0Bank | 34.6707 | 1.05% (A) |
0.37% | 34.6483 | 1.46% (C) |
0.81% | 2026-02-05 |
| ICE BofA 10+ Year US Banking and Brokerage Index (USD) | 1472.9240 | 0.68% (B) |
1463.3610 | 0.65% (D) |
|||
| CC81CHighRating | 34.5133 | 1.00% (A) |
0.00% | 34.2146 | 0.87% (C) |
-0.06% | 2026-02-05 |
| ICE 15+ Year AAA-AA US Corporate Index (TWD) | 3846.7300 | 1.00% (B) |
3811.2000 | 0.93% (D) |
|||
| CC81CHighRating | 34.5133 | 1.00% (A) |
0.38% | 34.2146 | 0.87% (C) |
0.76% | 2026-02-05 |
| ICE 15+ Year AAA-AA US Corporate Index (USD) | 121.4400 | 0.62% (B) |
121.3100 | 0.11% (D) |
|||
| CC8QUUtility | 33.7109 | 1.21% (A) |
-0.03% | 33.1657 | 1.64% (C) |
-0.17% | 2026-02-05 |
| ICE 15+ Year US Utility excluding Yankee Index (TWD) | 3914.5200 | 1.24% (B) |
3844.9100 | 1.81% (D) |
|||
| CC8QUUtility | 33.7109 | 1.21% (A) |
0.36% | 33.1657 | 1.64% (C) |
0.66% | 2026-02-05 |
| ICE 15+ Year US Utility excluding Yankee Index (USD) | 123.5800 | 0.85% (B) |
122.3830 | 0.98% (D) |
|||
| CDG8EEMSovereign | 32.2233 | 0.62% (A) |
-0.01% | 32.0734 | 0.47% (C) |
0.03% | 2026-02-05 |
| ICE International 15+ Year US Emerging Markets External Sovereign Index (TWD) | 3502.4200 | 0.63% (B) |
3486.9400 | 0.44% (D) |
|||
| CDG8EEMSovereign | 32.2233 | 0.62% (A) |
0.37% | 32.0734 | 0.47% (C) |
0.85% | 2026-02-05 |
| ICE International 15+ Year US Emerging Markets External Sovereign Index (USD) | 110.5700 | 0.25% (B) |
110.9890 | -0.38% (D) |
|||
| CUSTTTreasury | 28.5265 | 1.39% (A) |
-0.03% | 28.1344 | 1.39% (C) |
-0.03% | 2026-02-05 |
| (TWD) | 11816.4800 | 1.42% (B) |
11650.6500 | 1.42% (D) |
|||
| CUSTTTreasury | 28.5265 | 1.39% (A) |
0.36% | 28.1344 | 1.39% (C) |
0.80% | 2026-02-05 |
| (USD) | 373.0420 | 1.03% (B) |
370.8390 | 0.59% (D) |
|||
| CC83LSingleA | 32.5340 | 1.15% (A) |
-0.02% | 32.0342 | 1.56% (C) |
-0.04% | 2026-02-05 |
| ICE 15+ YEAR SINGLE-A LARGE CAP DEVELOPED MARKETS US CORPORATE INDEX (TWD) | 4023.1700 | 1.17% (B) |
3959.8600 | 1.60% (D) |
|||
| CC83LSingleA | 32.5340 | 1.15% (A) |
0.37% | 32.0342 | 1.56% (C) |
0.79% | 2026-02-05 |
| ICE 15+ YEAR SINGLE-A LARGE CAP DEVELOPED MARKETS US CORPORATE INDEX (USD) | 127.0100 | 0.78% (B) |
126.0420 | 0.77% (D) |
|||
| CC8HLHealthcare | 31.5660 | 1.16% (A) |
-0.01% | 31.1177 | 1.44% (C) |
-0.09% | 2026-02-05 |
| ICE 15+ Year AAA-A Large Cap Developed Markets US Healthcare Index (TWD) | 4052.1500 | 1.17% (B) |
3991.1500 | 1.53% (D) |
|||
| CC8HLHealthcare | 31.5660 | 1.16% (A) |
0.38% | 31.1177 | 1.44% (C) |
0.74% | 2026-02-05 |
| ICE 15+ Year AAA-A Large Cap Developed Markets US Healthcare Index (USD) | 127.9250 | 0.78% (B) |
127.0380 | 0.70% (D) |
|||
| CG0QA0-1YTreasury | 41.3710 | 0.41% (A) |
0.00% | 40.9047 | 1.14% (C) |
-0.02% | 2026-02-05 |
| ICE BofA 0-1 Year US Treasury Index (TWD) | 8078.0100 | 0.41% (B) |
7985.4800 | 1.16% (D) |
|||
| CG0QA0-1YTreasury | 41.3710 | 0.41% (A) |
0.38% | 40.9047 | 1.14% (C) |
0.81% | 2026-02-05 |
| ICE BofA 0-1 Year US Treasury Index (USD) | 255.0200 | 0.03% (B) |
254.1770 | 0.33% (D) |
|||
| CCV6D1-5YIG | 38.7337 | 0.58% (A) |
-0.02% | 38.2184 | 1.35% (C) |
-0.06% | 2026-02-05 |
| ICE 1-5 Year US Ultra Large Cap Developed Markets Corporate Maximum 6-Year Original Maturity Index (TWD) | 4187.6000 | 0.60% (B) |
4129.5400 | 1.41% (D) |
|||
| CCV6D1-5YIG | 38.7337 | 0.58% (A) |
0.36% | 38.2184 | 1.35% (C) |
0.77% | 2026-02-05 |
| ICE 1-5 Year US Ultra Large Cap Developed Markets Corporate Maximum 6-Year Original Maturity Index (USD) | 132.2010 | 0.22% (B) |
131.4430 | 0.58% (D) |
|||
| CAPITAL TIP Taiwan Select High Dividend ETF | 23.39 | -0.47% (A) |
0.01% | 22.49 | 4.00% (C) |
-0.48% | 2026-02-05 |
| Tip Customized Taiwan Select High Dividend (TWD) | 5877.44 | -0.48% (B) |
5625.16 | 4.48% (D) |
|||
| CAPITAL TIP Taiwan ESG Low Carbon ETF | 28.68 | 0.31% (A) |
-0.02% | 26.14 | 9.72% (C) |
0.06% | 2026-02-06 |
| TIP Customized Taiwan ESG Low Carbon 50 Index (TWD) | 10941.70 | 0.33% (B) |
9978.04 | 9.66% (D) |
|||
| CAPITAL TIP Taiwan Semiconductor Dividend Yield ETF | 23.92 | -2.53% (A) |
0.00% | 21.93 | 9.07% (C) |
-4.06% | 2026-02-05 |
| TIP Taiwan Semiconductor Dividend Yield Index (TWD) | 9498.08 | -2.53% (B) |
8395.98 | 13.13% (D) |
|||
| CAPITAL ICE ESG 20+ Year BBB Corporate ETF | 15.2558 | 1.01% (A) |
-0.01% | 15.0389 | 1.92% (C) |
-0.05% | 2026-02-05 |
| ICE ESG 20+ Year BBB Large Cap Developed Markets US Corporate Constrained Index (TWD) | 4365.4000 | 1.02% (B) |
4281.0400 | 1.97% (D) |
|||
| CAPITAL ICE ESG 20+ Year BBB Corporate ETF | 15.2558 | 1.01% (A) |
0.37% | 15.0389 | 1.92% (C) |
0.78% | 2026-02-05 |
| ICE ESG 20+ Year BBB Large Cap Developed Markets US Corporate Constrained Index (USD) | 137.8140 | 0.64% (B) |
136.2650 | 1.14% (D) |
|||
| CAPITAL TAIWAN TECH HIGH DIVIDEND AND GROWTH ETF | 9.90 | -1.79% (A) |
-0.05% | 9.58 | 3.34% (C) |
-1.55% | 2026-02-05 |
| TIP Customized Taiwan Tech High Dividend and Growth Index (TWD) | 5562.29 | -1.74% (B) |
5303.22 | 4.89% (D) |
|||
| CAPITAL SELECT HIGH YIELD BOND ETF | 9.7124 | 0.20% (A) |
-0.06% | 9.7437 | 0.93% (C) |
-0.25% | 2026-02-05 |
| ICE 1-5 Year BB-B Developed Market Coupon Enhanced Credit Factor USD High Yield (TWD) | 4786.1500 | 0.26% (B) |
4730.3300 | 1.18% (D) |
|||
| CAPITAL SELECT HIGH YIELD BOND ETF | 9.7124 | 0.20% (A) |
0.32% | 9.7437 | 0.93% (C) |
0.58% | 2026-02-05 |
| ICE 1-5 Year BB-B Developed Market Coupon Enhanced Credit Factor USD High Yield (USD) | 151.0970 | -0.12% (B) |
150.5660 | 0.35% (D) |
|||
| CAPITAL 0-5 YEAR ESG INVESTMENT GRADE CORPORATE BOND ETF | 10.3621 | 0.61% (A) |
0.03% | 10.3163 | 1.38% (C) |
-0.07% | 2026-02-05 |
| ICE ESG 0-5 Year BBB Large Cap Developed Markets US Corporate Index (TWD) | 4510.1200 | 0.58% (B) |
4445.4700 | 1.45% (D) |
|||
| CAPITAL 0-5 YEAR ESG INVESTMENT GRADE CORPORATE BOND ETF | 10.3621 | 0.61% (A) |
0.41% | 10.3163 | 1.38% (C) |
0.76% | 2026-02-05 |
| ICE ESG 0-5 Year BBB Large Cap Developed Markets US Corporate Index (USD) | 142.3830 | 0.20% (B) |
141.4990 | 0.62% (D) |
| Name | NAV/ Index Price |
Change | Day of TE (A) – (B) |
|---|---|---|---|
| CSZSME | 17.65 | -1.01% (A) |
-0.11% |
| SZSE SME PRICE INDEX (TWD) | 38438.80 | -0.90% (B) |
| Name | NAV* | Change* | Acc. TE (C) – (D) |
|---|---|---|---|
| CSZSME | 17.16 | 2.86% (C) |
-0.62% |
| SZSE SME PRICE INDEX (TWD) | 37147.76 | 3.48% (D) |
| Name | NAV/ Index Price |
Change | Day of TE (A) – (B) |
|---|---|---|---|
| CSZSME | 17.65 | -1.01% (A) |
0.19% |
| SZSE SME PRICE INDEX (CNY) | 8423.99 | -1.20% (B) |
| Name | NAV* | Change* | Acc. TE (C) – (D) |
|---|---|---|---|
| CSZSME | 17.16 | 2.86% (C) |
0.92% |
| SZSE SME PRICE INDEX (CNY) | 8263.86 | 1.94% (D) |
| Name | NAV/ Index Price |
Change | Day of TE (A) – (B) |
|---|---|---|---|
| CNBI | 35.51 | -1.61% (A) |
0.07% |
| NBI Index (TWD) | 183910.22 | -1.68% (B) |
| Name | NAV* | Change* | Acc. TE (C) – (D) |
|---|---|---|---|
| CNBI | 34.65 | 2.48% (C) |
-0.09% |
| NBI Index (TWD) | 179303.10 | 2.57% (D) |
| Name | NAV/ Index Price |
Change | Day of TE (A) – (B) |
|---|---|---|---|
| CNBI | 35.51 | -1.61% (A) |
0.45% |
| NBI Index (USD) | 5805.98 | -2.06% (B) |
| Name | NAV* | Change* | Acc. TE (C) – (D) |
|---|---|---|---|
| CNBI | 34.65 | 2.48% (C) |
0.75% |
| NBI Index (USD) | 5707.20 | 1.73% (D) |
| Name | NAV/ Index Price |
Change | Day of TE (A) – (B) |
|---|---|---|---|
| CTAIEX2X | 154.75 | -3.17% (A) |
-0.14% |
| TAIEX Leveraged 2X Index (TWD) | 112206.97 | -3.03% (B) |
| Name | NAV* | Change* | Acc. TE (C) – (D) |
|---|---|---|---|
| CTAIEX2X | 129.39 | 19.60% (C) |
-0.52% |
| TAIEX Leveraged 2X Index (TWD) | 93408.99 | 20.12% (D) |
| Name | NAV/ Index Price |
Change | Day of TE (A) – (B) |
|---|---|---|---|
| CTAIEX-1X | 1.47 | 1.38% (A) |
-0.13% |
| TAIEX Inverse-1X Index (TWD) | 1909.00 | 1.51% (B) |
| Name | NAV* | Change* | Acc. TE (C) – (D) |
|---|---|---|---|
| CTAIEX-1X | 1.62 | -9.26% (C) |
-0.01% |
| TAIEX Inverse-1X Index (TWD) | 2103.64 | -9.25% (D) |
| Name | NAV/ Index Price |
Change | Day of TE (A) – (B) |
|---|---|---|---|
| CDJUSREIT | 20.48 | 0.10% (A) |
-0.02% |
| Dow Jones U.S. Real Estate Index (TWD) | 11563.96 | 0.12% (B) |
| Name | NAV* | Change* | Acc. TE (C) – (D) |
|---|---|---|---|
| CDJUSREIT | 19.98 | 2.50% (C) |
-0.64% |
| Dow Jones U.S. Real Estate Index (TWD) | 11211.47 | 3.14% (D) |
| Name | NAV/ Index Price |
Change | Day of TE (A) – (B) |
|---|---|---|---|
| CDJUSREIT | 20.48 | 0.10% (A) |
0.36% |
| Dow Jones U.S. Real Estate Index (USD) | 365.07 | -0.26% (B) |
| Name | NAV* | Change* | Acc. TE (C) – (D) |
|---|---|---|---|
| CDJUSREIT | 19.98 | 2.50% (C) |
0.20% |
| Dow Jones U.S. Real Estate Index (USD) | 356.86 | 2.30% (D) |
| Name | NAV/ Index Price |
Change | Day of TE (A) – (B) |
|---|---|---|---|
| CC8R0Telecom | 36.7962 | 1.12% (A) |
0.00% |
| ICE BofA 15+ Year US Telecommunications Index (TWD) | 40855.6700 | 1.12% (B) |
| Name | NAV* | Change* | Acc. TE (C) – (D) |
|---|---|---|---|
| CC8R0Telecom | 36.7376 | 0.16% (C) |
-1.47% |
| ICE BofA 15+ Year US Telecommunications Index (TWD) | 40201.9500 | 1.63% (D) |
| Name | NAV/ Index Price |
Change | Day of TE (A) – (B) |
|---|---|---|---|
| CC8R0Telecom | 36.7962 | 1.12% (A) |
0.39% |
| ICE BofA 15+ Year US Telecommunications Index (USD) | 1289.7990 | 0.73% (B) |
| Name | NAV* | Change* | Acc. TE (C) – (D) |
|---|---|---|---|
| CC8R0Telecom | 36.7376 | 0.16% (C) |
-0.64% |
| ICE BofA 15+ Year US Telecommunications Index (USD) | 1279.6240 | 0.80% (D) |
| Name | NAV/ Index Price |
Change | Day of TE (A) – (B) |
|---|---|---|---|
| CC8TEIT | 31.5443 | 0.85% (A) |
0.02% |
| ICE BofA 15+ Year US TECHNOLOGY & ELECTRONICS Index (TWD) | 13113.0400 | 0.83% (B) |
| Name | NAV* | Change* | Acc. TE (C) – (D) |
|---|---|---|---|
| CC8TEIT | 31.4754 | 0.22% (C) |
-1.52% |
| ICE BofA 15+ Year US TECHNOLOGY & ELECTRONICS Index (TWD) | 12888.7900 | 1.74% (D) |
| Name | NAV/ Index Price |
Change | Day of TE (A) – (B) |
|---|---|---|---|
| CC8TEIT | 31.5443 | 0.85% (A) |
0.40% |
| ICE BofA 15+ Year US TECHNOLOGY & ELECTRONICS Index (USD) | 413.9740 | 0.45% (B) |
| Name | NAV* | Change* | Acc. TE (C) – (D) |
|---|---|---|---|
| CC8TEIT | 31.4754 | 0.22% (C) |
-0.69% |
| ICE BofA 15+ Year US TECHNOLOGY & ELECTRONICS Index (USD) | 410.2490 | 0.91% (D) |
| Name | NAV/ Index Price |
Change | Day of TE (A) – (B) |
|---|---|---|---|
| CC9P0Bank | 34.6707 | 1.05% (A) |
-0.02% |
| ICE BofA 10+ Year US Banking and Brokerage Index (TWD) | 46656.3400 | 1.07% (B) |
| Name | NAV* | Change* | Acc. TE (C) – (D) |
|---|---|---|---|
| CC9P0Bank | 34.6483 | 0.06% (C) |
-1.42% |
| ICE BofA 10+ Year US Banking and Brokerage Index (TWD) | 45974.4100 | 1.48% (D) |
| Name | NAV/ Index Price |
Change | Day of TE (A) – (B) |
|---|---|---|---|
| CC9P0Bank | 34.6707 | 1.05% (A) |
0.37% |
| ICE BofA 10+ Year US Banking and Brokerage Index (USD) | 1472.9240 | 0.68% (B) |
| Name | NAV* | Change* | Acc. TE (C) – (D) |
|---|---|---|---|
| CC9P0Bank | 34.6483 | 0.06% (C) |
-0.59% |
| ICE BofA 10+ Year US Banking and Brokerage Index (USD) | 1463.3610 | 0.65% (D) |
| Name | NAV/ Index Price |
Change | Day of TE (A) – (B) |
|---|---|---|---|
| CC81CHighRating | 34.5133 | 1.00% (A) |
0.00% |
| ICE 15+ Year AAA-AA US Corporate Index (TWD) | 3846.7300 | 1.00% (B) |
| Name | NAV* | Change* | Acc. TE (C) – (D) |
|---|---|---|---|
| CC81CHighRating | 34.2146 | 0.87% (C) |
-0.06% |
| ICE 15+ Year AAA-AA US Corporate Index (TWD) | 3811.2000 | 0.93% (D) |
| Name | NAV/ Index Price |
Change | Day of TE (A) – (B) |
|---|---|---|---|
| CC81CHighRating | 34.5133 | 1.00% (A) |
0.38% |
| ICE 15+ Year AAA-AA US Corporate Index (USD) | 121.4400 | 0.62% (B) |
| Name | NAV* | Change* | Acc. TE (C) – (D) |
|---|---|---|---|
| CC81CHighRating | 34.2146 | 0.87% (C) |
0.76% |
| ICE 15+ Year AAA-AA US Corporate Index (USD) | 121.3100 | 0.11% (D) |
| Name | NAV/ Index Price |
Change | Day of TE (A) – (B) |
|---|---|---|---|
| CC8QUUtility | 33.7109 | 1.21% (A) |
-0.03% |
| ICE 15+ Year US Utility excluding Yankee Index (TWD) | 3914.5200 | 1.24% (B) |
| Name | NAV* | Change* | Acc. TE (C) – (D) |
|---|---|---|---|
| CC8QUUtility | 33.1657 | 1.64% (C) |
-0.17% |
| ICE 15+ Year US Utility excluding Yankee Index (TWD) | 3844.9100 | 1.81% (D) |
| Name | NAV/ Index Price |
Change | Day of TE (A) – (B) |
|---|---|---|---|
| CC8QUUtility | 33.7109 | 1.21% (A) |
0.36% |
| ICE 15+ Year US Utility excluding Yankee Index (USD) | 123.5800 | 0.85% (B) |
| Name | NAV* | Change* | Acc. TE (C) – (D) |
|---|---|---|---|
| CC8QUUtility | 33.1657 | 1.64% (C) |
0.66% |
| ICE 15+ Year US Utility excluding Yankee Index (USD) | 122.3830 | 0.98% (D) |
| Name | NAV/ Index Price |
Change | Day of TE (A) – (B) |
|---|---|---|---|
| CDG8EEMSovereign | 32.2233 | 0.62% (A) |
-0.01% |
| ICE International 15+ Year US Emerging Markets External Sovereign Index (TWD) | 3502.4200 | 0.63% (B) |
| Name | NAV* | Change* | Acc. TE (C) – (D) |
|---|---|---|---|
| CDG8EEMSovereign | 32.0734 | 0.47% (C) |
0.03% |
| ICE International 15+ Year US Emerging Markets External Sovereign Index (TWD) | 3486.9400 | 0.44% (D) |
| Name | NAV/ Index Price |
Change | Day of TE (A) – (B) |
|---|---|---|---|
| CDG8EEMSovereign | 32.2233 | 0.62% (A) |
0.37% |
| ICE International 15+ Year US Emerging Markets External Sovereign Index (USD) | 110.5700 | 0.25% (B) |
| Name | NAV* | Change* | Acc. TE (C) – (D) |
|---|---|---|---|
| CDG8EEMSovereign | 32.0734 | 0.47% (C) |
0.85% |
| ICE International 15+ Year US Emerging Markets External Sovereign Index (USD) | 110.9890 | -0.38% (D) |
| Name | NAV/ Index Price |
Change | Day of TE (A) – (B) |
|---|---|---|---|
| CUSTTTreasury | 28.5265 | 1.39% (A) |
-0.03% |
| (TWD) | 11816.4800 | 1.42% (B) |
| Name | NAV* | Change* | Acc. TE (C) – (D) |
|---|---|---|---|
| CUSTTTreasury | 28.1344 | 1.39% (C) |
-0.03% |
| (TWD) | 11650.6500 | 1.42% (D) |
| Name | NAV/ Index Price |
Change | Day of TE (A) – (B) |
|---|---|---|---|
| CUSTTTreasury | 28.5265 | 1.39% (A) |
0.36% |
| (USD) | 373.0420 | 1.03% (B) |
| Name | NAV* | Change* | Acc. TE (C) – (D) |
|---|---|---|---|
| CUSTTTreasury | 28.1344 | 1.39% (C) |
0.80% |
| (USD) | 370.8390 | 0.59% (D) |
| Name | NAV/ Index Price |
Change | Day of TE (A) – (B) |
|---|---|---|---|
| CC83LSingleA | 32.5340 | 1.15% (A) |
-0.02% |
| ICE 15+ YEAR SINGLE-A LARGE CAP DEVELOPED MARKETS US CORPORATE INDEX (TWD) | 4023.1700 | 1.17% (B) |
| Name | NAV* | Change* | Acc. TE (C) – (D) |
|---|---|---|---|
| CC83LSingleA | 32.0342 | 1.56% (C) |
-0.04% |
| ICE 15+ YEAR SINGLE-A LARGE CAP DEVELOPED MARKETS US CORPORATE INDEX (TWD) | 3959.8600 | 1.60% (D) |
| Name | NAV/ Index Price |
Change | Day of TE (A) – (B) |
|---|---|---|---|
| CC83LSingleA | 32.5340 | 1.15% (A) |
0.37% |
| ICE 15+ YEAR SINGLE-A LARGE CAP DEVELOPED MARKETS US CORPORATE INDEX (USD) | 127.0100 | 0.78% (B) |
| Name | NAV* | Change* | Acc. TE (C) – (D) |
|---|---|---|---|
| CC83LSingleA | 32.0342 | 1.56% (C) |
0.79% |
| ICE 15+ YEAR SINGLE-A LARGE CAP DEVELOPED MARKETS US CORPORATE INDEX (USD) | 126.0420 | 0.77% (D) |
| Name | NAV/ Index Price |
Change | Day of TE (A) – (B) |
|---|---|---|---|
| CC8HLHealthcare | 31.5660 | 1.16% (A) |
-0.01% |
| ICE 15+ Year AAA-A Large Cap Developed Markets US Healthcare Index (TWD) | 4052.1500 | 1.17% (B) |
| Name | NAV* | Change* | Acc. TE (C) – (D) |
|---|---|---|---|
| CC8HLHealthcare | 31.1177 | 1.44% (C) |
-0.09% |
| ICE 15+ Year AAA-A Large Cap Developed Markets US Healthcare Index (TWD) | 3991.1500 | 1.53% (D) |
| Name | NAV/ Index Price |
Change | Day of TE (A) – (B) |
|---|---|---|---|
| CC8HLHealthcare | 31.5660 | 1.16% (A) |
0.38% |
| ICE 15+ Year AAA-A Large Cap Developed Markets US Healthcare Index (USD) | 127.9250 | 0.78% (B) |
| Name | NAV* | Change* | Acc. TE (C) – (D) |
|---|---|---|---|
| CC8HLHealthcare | 31.1177 | 1.44% (C) |
0.74% |
| ICE 15+ Year AAA-A Large Cap Developed Markets US Healthcare Index (USD) | 127.0380 | 0.70% (D) |
| Name | NAV/ Index Price |
Change | Day of TE (A) – (B) |
|---|---|---|---|
| CG0QA0-1YTreasury | 41.3710 | 0.41% (A) |
0.00% |
| ICE BofA 0-1 Year US Treasury Index (TWD) | 8078.0100 | 0.41% (B) |
| Name | NAV* | Change* | Acc. TE (C) – (D) |
|---|---|---|---|
| CG0QA0-1YTreasury | 40.9047 | 1.14% (C) |
-0.02% |
| ICE BofA 0-1 Year US Treasury Index (TWD) | 7985.4800 | 1.16% (D) |
| Name | NAV/ Index Price |
Change | Day of TE (A) – (B) |
|---|---|---|---|
| CG0QA0-1YTreasury | 41.3710 | 0.41% (A) |
0.38% |
| ICE BofA 0-1 Year US Treasury Index (USD) | 255.0200 | 0.03% (B) |
| Name | NAV* | Change* | Acc. TE (C) – (D) |
|---|---|---|---|
| CG0QA0-1YTreasury | 40.9047 | 1.14% (C) |
0.81% |
| ICE BofA 0-1 Year US Treasury Index (USD) | 254.1770 | 0.33% (D) |
| Name | NAV/ Index Price |
Change | Day of TE (A) – (B) |
|---|---|---|---|
| CCV6D1-5YIG | 38.7337 | 0.58% (A) |
-0.02% |
| ICE 1-5 Year US Ultra Large Cap Developed Markets Corporate Maximum 6-Year Original Maturity Index (TWD) | 4187.6000 | 0.60% (B) |
| Name | NAV* | Change* | Acc. TE (C) – (D) |
|---|---|---|---|
| CCV6D1-5YIG | 38.2184 | 1.35% (C) |
-0.06% |
| ICE 1-5 Year US Ultra Large Cap Developed Markets Corporate Maximum 6-Year Original Maturity Index (TWD) | 4129.5400 | 1.41% (D) |
| Name | NAV/ Index Price |
Change | Day of TE (A) – (B) |
|---|---|---|---|
| CCV6D1-5YIG | 38.7337 | 0.58% (A) |
0.36% |
| ICE 1-5 Year US Ultra Large Cap Developed Markets Corporate Maximum 6-Year Original Maturity Index (USD) | 132.2010 | 0.22% (B) |
| Name | NAV* | Change* | Acc. TE (C) – (D) |
|---|---|---|---|
| CCV6D1-5YIG | 38.2184 | 1.35% (C) |
0.77% |
| ICE 1-5 Year US Ultra Large Cap Developed Markets Corporate Maximum 6-Year Original Maturity Index (USD) | 131.4430 | 0.58% (D) |
| Name | NAV/ Index Price |
Change | Day of TE (A) – (B) |
|---|---|---|---|
| CAPITAL TIP Taiwan Select High Dividend ETF | 23.39 | -0.47% (A) |
0.01% |
| Tip Customized Taiwan Select High Dividend (TWD) | 5877.44 | -0.48% (B) |
| Name | NAV* | Change* | Acc. TE (C) – (D) |
|---|---|---|---|
| CAPITAL TIP Taiwan Select High Dividend ETF | 22.49 | 4.00% (C) |
-0.48% |
| Tip Customized Taiwan Select High Dividend (TWD) | 5625.16 | 4.48% (D) |
| Name | NAV/ Index Price |
Change | Day of TE (A) – (B) |
|---|---|---|---|
| CAPITAL TIP Taiwan ESG Low Carbon ETF | 28.68 | 0.31% (A) |
-0.02% |
| TIP Customized Taiwan ESG Low Carbon 50 Index (TWD) | 10941.70 | 0.33% (B) |
| Name | NAV* | Change* | Acc. TE (C) – (D) |
|---|---|---|---|
| CAPITAL TIP Taiwan ESG Low Carbon ETF | 26.14 | 9.72% (C) |
0.06% |
| TIP Customized Taiwan ESG Low Carbon 50 Index (TWD) | 9978.04 | 9.66% (D) |
| Name | NAV/ Index Price |
Change | Day of TE (A) – (B) |
|---|---|---|---|
| CAPITAL TIP Taiwan Semiconductor Dividend Yield ETF | 23.92 | -2.53% (A) |
0.00% |
| TIP Taiwan Semiconductor Dividend Yield Index (TWD) | 9498.08 | -2.53% (B) |
| Name | NAV* | Change* | Acc. TE (C) – (D) |
|---|---|---|---|
| CAPITAL TIP Taiwan Semiconductor Dividend Yield ETF | 21.93 | 9.07% (C) |
-4.06% |
| TIP Taiwan Semiconductor Dividend Yield Index (TWD) | 8395.98 | 13.13% (D) |
| Name | NAV/ Index Price |
Change | Day of TE (A) – (B) |
|---|---|---|---|
| CAPITAL ICE ESG 20+ Year BBB Corporate ETF | 15.2558 | 1.01% (A) |
-0.01% |
| ICE ESG 20+ Year BBB Large Cap Developed Markets US Corporate Constrained Index (TWD) | 4365.4000 | 1.02% (B) |
| Name | NAV* | Change* | Acc. TE (C) – (D) |
|---|---|---|---|
| CAPITAL ICE ESG 20+ Year BBB Corporate ETF | 15.0389 | 1.44% (C) |
-0.53% |
| ICE ESG 20+ Year BBB Large Cap Developed Markets US Corporate Constrained Index (TWD) | 4281.0400 | 1.97% (D) |
| Name | NAV/ Index Price |
Change | Day of TE (A) – (B) |
|---|---|---|---|
| CAPITAL ICE ESG 20+ Year BBB Corporate ETF | 15.2558 | 1.01% (A) |
0.37% |
| ICE ESG 20+ Year BBB Large Cap Developed Markets US Corporate Constrained Index (USD) | 137.8140 | 0.64% (B) |
| Name | NAV* | Change* | Acc. TE (C) – (D) |
|---|---|---|---|
| CAPITAL ICE ESG 20+ Year BBB Corporate ETF | 15.0389 | 1.44% (C) |
0.30% |
| ICE ESG 20+ Year BBB Large Cap Developed Markets US Corporate Constrained Index (USD) | 136.2650 | 1.14% (D) |
| Name | NAV/ Index Price |
Change | Day of TE (A) – (B) |
|---|---|---|---|
| CAPITAL TAIWAN TECH HIGH DIVIDEND AND GROWTH ETF | 9.90 | -1.79% (A) |
-0.05% |
| TIP Customized Taiwan Tech High Dividend and Growth Index (TWD) | 5562.29 | -1.74% (B) |
| Name | NAV* | Change* | Acc. TE (C) – (D) |
|---|---|---|---|
| CAPITAL TAIWAN TECH HIGH DIVIDEND AND GROWTH ETF | 9.58 | 3.34% (C) |
-1.55% |
| TIP Customized Taiwan Tech High Dividend and Growth Index (TWD) | 5303.22 | 4.89% (D) |
| Name | NAV/ Index Price |
Change | Day of TE (A) – (B) |
|---|---|---|---|
| CAPITAL SELECT HIGH YIELD BOND ETF | 9.7124 | 0.20% (A) |
-0.06% |
| ICE 1-5 Year BB-B Developed Market Coupon Enhanced Credit Factor USD High Yield (TWD) | 4786.1500 | 0.26% (B) |
| Name | NAV* | Change* | Acc. TE (C) – (D) |
|---|---|---|---|
| CAPITAL SELECT HIGH YIELD BOND ETF | 9.7437 | -0.32% (C) |
-1.50% |
| ICE 1-5 Year BB-B Developed Market Coupon Enhanced Credit Factor USD High Yield (TWD) | 4730.3300 | 1.18% (D) |
| Name | NAV/ Index Price |
Change | Day of TE (A) – (B) |
|---|---|---|---|
| CAPITAL SELECT HIGH YIELD BOND ETF | 9.7124 | 0.20% (A) |
0.32% |
| ICE 1-5 Year BB-B Developed Market Coupon Enhanced Credit Factor USD High Yield (USD) | 151.0970 | -0.12% (B) |
| Name | NAV* | Change* | Acc. TE (C) – (D) |
|---|---|---|---|
| CAPITAL SELECT HIGH YIELD BOND ETF | 9.7437 | -0.32% (C) |
-0.67% |
| ICE 1-5 Year BB-B Developed Market Coupon Enhanced Credit Factor USD High Yield (USD) | 150.5660 | 0.35% (D) |
| Name | NAV/ Index Price |
Change | Day of TE (A) – (B) |
|---|---|---|---|
| CAPITAL 0-5 YEAR ESG INVESTMENT GRADE CORPORATE BOND ETF | 10.3621 | 0.61% (A) |
0.03% |
| ICE ESG 0-5 Year BBB Large Cap Developed Markets US Corporate Index (TWD) | 4510.1200 | 0.58% (B) |
| Name | NAV* | Change* | Acc. TE (C) – (D) |
|---|---|---|---|
| CAPITAL 0-5 YEAR ESG INVESTMENT GRADE CORPORATE BOND ETF | 10.3163 | 0.44% (C) |
-1.01% |
| ICE ESG 0-5 Year BBB Large Cap Developed Markets US Corporate Index (TWD) | 4445.4700 | 1.45% (D) |
| Name | NAV/ Index Price |
Change | Day of TE (A) – (B) |
|---|---|---|---|
| CAPITAL 0-5 YEAR ESG INVESTMENT GRADE CORPORATE BOND ETF | 10.3621 | 0.61% (A) |
0.41% |
| ICE ESG 0-5 Year BBB Large Cap Developed Markets US Corporate Index (USD) | 142.3830 | 0.20% (B) |
| Name | NAV* | Change* | Acc. TE (C) – (D) |
|---|---|---|---|
| CAPITAL 0-5 YEAR ESG INVESTMENT GRADE CORPORATE BOND ETF | 10.3163 | 0.44% (C) |
-0.18% |
| ICE ESG 0-5 Year BBB Large Cap Developed Markets US Corporate Index (USD) | 141.4990 | 0.62% (D) |