想投資美股或日股,卻卡在「匯率風險」不敢下手?本集我們以富邦日本東證與元大標普500等台灣上架的「匯率避險」ETF為例,對照TOPIX與S&P 500近五年走勢,實測避險如何把匯損干擾降到最低,甚至讓績效更貼近或優於指數。同場也比較SPY、IVV、QQQ與台灣對應ETF在費用、流動性、時差、稅務與開戶門檻上的取捨,並回到實務操作:市場不一定在低點,但只要定時定額、分散布局,仍能穩健參與成長。如果你也擔心「賺了指數、輸在匯率」,這集千萬別錯過囉!(節目內容為教育分享,非個別投資建議;投資前請評估自身風險承受度。本集錄音日期:2025/10/28) 本集重點: ⭐ 海外投資的匯率風險 ⭐ 實證對照:日本市場/美股市場 ⭐ 避險如何做
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