Fiserv FISV
-
-
-
已收盤:-
淨值比明細
年季 | 收盤價 | 權益總計(百萬) | 稅後權益報酬率(%) | 稅後純益(百萬) | 稅後資產報酬率(%) | 資產總計(百萬) |
|---|---|---|---|---|---|---|
| 2025Q4 | 67.17 | 25,792 | 3.19 | 811 | 1.02 | 80,133 |
| 2025Q3 | 128.93 | 25,121 | 3.15 | 792 | 0.98 | 79,370 |
| 2025Q2 | 172.41 | 25,215 | 4.02 | 1,026 | 1.27 | 81,531 |
| 2025Q1 | 220.83 | 25,884 | 3.21 | 851 | 1.08 | 80,402 |
| 2024Q4 | 205.42 | 27,068 | 3.38 | 938 | 1.20 | 77,176 |
| 2024Q3 | 179.65 | 28,403 | 564 | 79,792 | ||
| 2023Q1 | 113.03 | 30,077 | 1.85 | 563 | 0.70 | 76,548 |
| 2022Q4 | 101.07 | 30,828 | 2.56 | 782 | 0.98 | 83,869 |
| 2022Q3 | 93.57 | 30,326 | 1.57 | 481 | 0.63 | 75,640 |
| 2022Q2 | 88.97 | 31,109 | 1.92 | 598 | 0.78 | 77,212 |
| 2022Q1 | 101.40 | 31,272 | 2.15 | 669 | 0.88 | 75,470 |
| 2021Q4 | 103.79 | 30,952 | 1.06 | 333 | 0.44 | 76,249 |
| 2021Q3 | 108.50 | 31,596 | 1.35 | 428 | 0.56 | 75,767 |
| 2021Q2 | 106.89 | 31,793 | 0.85 | 269 | 0.36 | 75,776 |
| 2021Q1 | 119.04 | 31,851 | 0.95 | 304 | 0.41 | 74,840 |
| 2020Q4 | 113.86 | 32,330 | 0.94 | 300 | 0.41 | 74,619 |
| 2020Q3 | 103.05 | 31,692 | 0.83 | 264 | 0.35 | 72,372 |
| 2020Q2 | 97.62 | 31,583 | 0.01 | 2 | 0.00 | 77,093 |
| 2020Q1 | 94.99 | 31,843 | 1.21 | 392 | 0.52 | 72,598 |
| 2019Q4 | 115.63 | 32,979 | 0.75 | 247 | 0.32 | 77,539 |