群益投信理財網
Capital ETF
Name Value Date Ex-Date Payable Date Dividend Per Share (TWD) The Day before Ex-Date NAV(TWD) Annualized Dividend Yield(%) Frequency
00714 CDJUSREIT 2024/03/31 2024/04/18 2024/05/15 0.123 18.49 2.66 Quarterly
00722B CC8R0Telecom 2024/03/31 2024/04/18 2024/05/15 0.477 37.9522 5.03 Quarterly
00723B CC8TEIT 2024/03/31 2024/04/18 2024/05/15 0.413 33.4552 4.94 Quarterly
00724B CC9P0Bank 2024/03/31 2024/04/18 2024/05/15 0.451 34.3631 5.25 Quarterly
00927 CAPITAL TIP Taiwan Semiconductor Dividend Yield ETF 2024/03/31 2024/04/18 2024/05/15 0.400 19.26 8.31 Quarterly
00937B CAPITAL ICE ESG 20+ Year BBB Corporate ETF 2024/03/31 2024/04/18 2024/05/15 0.084 15.4500 6.52 monthly
00764B CUSTTTreasury 2024/02/29 2024/03/18 2024/04/15 0.209 30.5367 2.74 Quarterly
00792B CC83LSingleA 2024/02/29 2024/03/18 2024/04/15 0.399 33.7424 4.73 Quarterly
00793B CC8HLHealthcare 2024/02/29 2024/03/18 2024/04/15 0.331 32.8175 4.03 Quarterly
00859B CG0QA0-1YTreasury 2024/02/29 2024/03/18 2024/04/15 0.362 41.3805 3.50 Quarterly
00919 CAPITAL TIP Taiwan Select High Dividend ETF 2024/02/29 2024/03/18 2024/04/15 0.660 25.63 10.30 Quarterly
00754B CC81CHighRating 2024/01/31 2024/02/27 2024/03/25 0.418 36.4164 4.59 Quarterly
00755B CC8QUUtility 2024/01/31 2024/02/27 2024/03/25 0.434 34.2998 5.06 Quarterly
00756B CDG8EEMSovereign 2024/01/31 2024/02/27 2024/03/25 0.479 32.8926 5.83 Quarterly
00794B CCNSP7+YearChinaPolicyBank 2024/01/31 2024/02/27 2024/03/25 0.402 40.2547 3.99 Quarterly
00860B CCV6D1-5YIG 2024/01/31 2024/02/27 2024/03/25 0.488 38.1377 5.12 Quarterly
00923 CAPITAL TIP Taiwan ESG Low Carbon ETF 2024/01/31 2024/02/27 2024/03/25 0.230 18.57 2.48 semi-annually
Name
00714 CDJUSREIT
Frequency
Quarterly
Value Date
2024/03/31
Ex-Date
2024/04/18
Payable Date
2024/05/15
Dividend Per Share (TWD)
0.123
The Day before Ex-Date NAV(TWD)
18.49
Annualized Dividend Yield(%)
2.66
Name
00722B CC8R0Telecom
Frequency
Quarterly
Value Date
2024/03/31
Ex-Date
2024/04/18
Payable Date
2024/05/15
Dividend Per Share (TWD)
0.477
The Day before Ex-Date NAV(TWD)
37.9522
Annualized Dividend Yield(%)
5.03
Name
00723B CC8TEIT
Frequency
Quarterly
Value Date
2024/03/31
Ex-Date
2024/04/18
Payable Date
2024/05/15
Dividend Per Share (TWD)
0.413
The Day before Ex-Date NAV(TWD)
33.4552
Annualized Dividend Yield(%)
4.94
Name
00724B CC9P0Bank
Frequency
Quarterly
Value Date
2024/03/31
Ex-Date
2024/04/18
Payable Date
2024/05/15
Dividend Per Share (TWD)
0.451
The Day before Ex-Date NAV(TWD)
34.3631
Annualized Dividend Yield(%)
5.25
Name
00927 CAPITAL TIP Taiwan Semiconductor Dividend Yield ETF
Frequency
Quarterly
Value Date
2024/03/31
Ex-Date
2024/04/18
Payable Date
2024/05/15
Dividend Per Share (TWD)
0.400
The Day before Ex-Date NAV(TWD)
19.26
Annualized Dividend Yield(%)
8.31
Name
00937B CAPITAL ICE ESG 20+ Year BBB Corporate ETF
Frequency
monthly
Value Date
2024/03/31
Ex-Date
2024/04/18
Payable Date
2024/05/15
Dividend Per Share (TWD)
0.084
The Day before Ex-Date NAV(TWD)
15.4500
Annualized Dividend Yield(%)
6.52
Name
00764B CUSTTTreasury
Frequency
Quarterly
Value Date
2024/02/29
Ex-Date
2024/03/18
Payable Date
2024/04/15
Dividend Per Share (TWD)
0.209
The Day before Ex-Date NAV(TWD)
30.5367
Annualized Dividend Yield(%)
2.74
Name
00792B CC83LSingleA
Frequency
Quarterly
Value Date
2024/02/29
Ex-Date
2024/03/18
Payable Date
2024/04/15
Dividend Per Share (TWD)
0.399
The Day before Ex-Date NAV(TWD)
33.7424
Annualized Dividend Yield(%)
4.73
Name
00793B CC8HLHealthcare
Frequency
Quarterly
Value Date
2024/02/29
Ex-Date
2024/03/18
Payable Date
2024/04/15
Dividend Per Share (TWD)
0.331
The Day before Ex-Date NAV(TWD)
32.8175
Annualized Dividend Yield(%)
4.03
Name
00859B CG0QA0-1YTreasury
Frequency
Quarterly
Value Date
2024/02/29
Ex-Date
2024/03/18
Payable Date
2024/04/15
Dividend Per Share (TWD)
0.362
The Day before Ex-Date NAV(TWD)
41.3805
Annualized Dividend Yield(%)
3.50
Name
00919 CAPITAL TIP Taiwan Select High Dividend ETF
Frequency
Quarterly
Value Date
2024/02/29
Ex-Date
2024/03/18
Payable Date
2024/04/15
Dividend Per Share (TWD)
0.660
The Day before Ex-Date NAV(TWD)
25.63
Annualized Dividend Yield(%)
10.30
Name
00754B CC81CHighRating
Frequency
Quarterly
Value Date
2024/01/31
Ex-Date
2024/02/27
Payable Date
2024/03/25
Dividend Per Share (TWD)
0.418
The Day before Ex-Date NAV(TWD)
36.4164
Annualized Dividend Yield(%)
4.59
Name
00755B CC8QUUtility
Frequency
Quarterly
Value Date
2024/01/31
Ex-Date
2024/02/27
Payable Date
2024/03/25
Dividend Per Share (TWD)
0.434
The Day before Ex-Date NAV(TWD)
34.2998
Annualized Dividend Yield(%)
5.06
Name
00756B CDG8EEMSovereign
Frequency
Quarterly
Value Date
2024/01/31
Ex-Date
2024/02/27
Payable Date
2024/03/25
Dividend Per Share (TWD)
0.479
The Day before Ex-Date NAV(TWD)
32.8926
Annualized Dividend Yield(%)
5.83
Name
00794B CCNSP7+YearChinaPolicyBank
Frequency
Quarterly
Value Date
2024/01/31
Ex-Date
2024/02/27
Payable Date
2024/03/25
Dividend Per Share (TWD)
0.402
The Day before Ex-Date NAV(TWD)
40.2547
Annualized Dividend Yield(%)
3.99
Name
00860B CCV6D1-5YIG
Frequency
Quarterly
Value Date
2024/01/31
Ex-Date
2024/02/27
Payable Date
2024/03/25
Dividend Per Share (TWD)
0.488
The Day before Ex-Date NAV(TWD)
38.1377
Annualized Dividend Yield(%)
5.12
Name
00923 CAPITAL TIP Taiwan ESG Low Carbon ETF
Frequency
semi-annually
Value Date
2024/01/31
Ex-Date
2024/02/27
Payable Date
2024/03/25
Dividend Per Share (TWD)
0.230
The Day before Ex-Date NAV(TWD)
18.57
Annualized Dividend Yield(%)
2.48
備註
  • 年化配息率=(每單位配息金額÷除息日前一日之淨值)×一年配息次數×100%,「年化配息率為估算值」。
  • 首次年化配息率:(每單位配息金額÷除息日前一日之淨值)×(365÷實際孳息天數) ×100%。
  • 基金配息率不代表基金報酬率,且過去配息率不代表未來配息率,於獲配息時,宜一併注意基金淨值之變動;基金淨值可能因市場因素而上下波動。
  • 每單位分配金額單位為新臺幣元。