Skip to main content
Free trial

Ask AI to review this stock

Copy the prompt to get recent events, historical reactions, and a short research brief.

Tell your AI:

Help me set up FinLab and analyze 00678 群益那斯達克生技(原簡稱:群益NBI生技). Please read: https://finlab.finance/en/setup?stock=00678

00678

群益那斯達克生技(原簡稱:群益NBI生技) Foreign ETF As of 2026-07-29 Updated daily after market close

no active signal today.

This page refreshes daily after the close. Add 群益那斯達克生技(原簡稱:群益NBI生技) to your watchlist to track signal changes on your next visit.
估值 50品質 50成長 50動能 87籌碼 73

Price and fund-flow snapshot

  • 外資近期偏買。外資近 20 日買賣超約佔成交量 4.1%(買超)。

Chip flow

Bullish +0.67
BearishNeutralBullish

Institutional rotation, concentration steady — bullish

  • Institutional rotation, concentration steady — bullish
  • 群益金鼎 holds 366 lots
  • sellers have 906 lots left, ~303 sessions to clear

Window from 2026-01-17 · Price +4% · branches to 2026-06-17· TDCC to 2026-06-12

  • Largest holder 群益金鼎 has accumulated 366 lots since the start (sold 25%), still adding.
  • Main distributor 元大證券 peaked at 654 lots, has sold 34%, 430 left, ~57 sessions to clear at the recent pace.
  • TDCC big holders (absolute) >1000-lot holders +0.00pp, mid holders +4, retail -26.68pp — little change.
  • Foreign hedge-desk net short Net short -200 lots (inferred from branch profile, mostly hedging — not necessarily bearish, not case-confirmed).
Branch inventory reconstruction
Accumulating holders Branches that accumulated shares during the window and still hold positive inventory; they are the absorbing side.
Distributing sellers Branches that built inventory earlier and have been selling it down; the remaining number estimates what has not cleared.
Net-short desks Trading-desk branches with negative inventory or net selling, often hedge, offsetting, or short-term flow. It is not automatically a bearish view.
Accumulating
群益金鼎第一金-高雄國泰證券元大-大同兆豐-寶成富邦-敦南
Distributing
元大證券凱基-台北富邦證券永豐金證券富邦-桃園第一金-桃園
Desks
own scale
國泰-台南亞東國泰-敦南凱基
Price Accumulating & Distributing share one scale (comparable); Desks is independent. Zero is the baseline
Branch details Unit: lots

Accumulating

  • 群益金鼎 +366
    sold 25%· still adding
  • 第一金-高雄 +259
    sold 0%
  • 國泰證券 +65
    sold 0%· still adding
  • 元大-大同 +30
    sold 0%
  • 兆豐-寶成 +26
    sold 0%
  • 富邦-敦南 +25
    sold 4%

Distributing

  • 元大證券 430 left
    sold 34%· ~57 sessions to clear
  • 凱基-台北 381 left
    sold 38%· ~25 sessions to clear
  • 富邦證券 75 left
    sold 74%· paused recently
  • 永豐金證券 91 left
    sold 46%· ~303 sessions to clear
  • 富邦-桃園 7 left
    sold 76%· paused recently
  • 第一金-桃園 10 left
    sold 50%· paused recently

Desks

  • 國泰-台南 -232
    unclassified
  • 亞東 -170
    unclassified
  • 國泰-敦南 -136
    day-trade · selling pressure
  • 凱基 -103
    unclassified
Still selling 906 lots ~303 sessions to bottom at most
Recent buy/sell force +345 absorbed / -249 sold buyers slightly ahead
TDCC big holders · absolute-holding cross-check
>1000-lot holder share Retail (<400 lots) share Price (right axis)

Mixed direction: big-holder and retail changes are not aligned.

Describes chip flow, not investment advice. Branch data discloses only high-volume branches with ~1-day lag; TDCC is weekly. Inventory is a relative reconstruction from the window start, not absolute holdings.

Historical evidence

這個訊號在全市場是否站得住腳

「月營收年增率 ≥ 20%」過去 243 個月,每月平均約 404 檔個股符合條件;這些個股之後 60 個交易日的還原股價報酬,等權平均為 6.99%,平均贏過大盤 2.32 個百分點,在 64.2% 的月份中跑贏發行量加權股價報酬指數。

每月對全市場符合訊號的股票取等權平均前瞻 60 日還原報酬,再對月份平均;超額相對發行量加權股價報酬指數

目前未成立的訊號(歷史統計供參)

這些訊號現在沒有發生,列出歷史樣本以供對照

股價創 252 日新高(突破日)

Pending

還原股價首次站上過去 252 個交易日最高;20 日內重複觸發只計一次

18 times historically; 60-day forward avg +0.72%, win rate 58.8%, beating the market by -7.23 pts on average.

外資連續買超滿 5 個交易日

Pending

外資(不含自營商)買賣超連續 5 日為正,事件日為第 5 日;20 日內重複觸發只計一次

21 times historically; 60-day forward avg +0.97%, win rate 50%, beating the market by -2.19 pts on average.

What is 群益那斯達克生技(原簡稱:群益NBI生技)? Tracked index, holdings and distributions

ETF(國外股票型/生技醫療主題,追蹤美國那斯達克生技指數) 台灣證券交易所(上市,TWSE)

Overview

本商品為指數股票型基金(ETF),並非營運公司。發行與經理機構為群益證券投資信託股份有限公司(群益投信,Capital Investment Trust Corporation)。基金成立日為2017年1月9日,於台灣證券交易所掛牌上市日為2017年1月16日,掛牌代號00678。計價幣別為新台幣(TWD)。經理費約0.85%,保管費包含於整體管理費用內,市場資料顯示總費用率約1.45%~1.49%。基金經理人為張晏禎。截至2026年6月中旬,基金規模約新台幣2.88億元(約287~291百萬元),受益人數約0.28萬人,規模相對較小。

Business

00678為被動式(追蹤指數)ETF,追蹤標的指數為「那斯達克生技指數(Nasdaq Biotechnology Index,NBI)」,目的在於讓台灣投資人能以新台幣參與美國掛牌之生物科技與製藥類股的整體表現。成分股以美國那斯達克掛牌之生技、製藥、醫療與生命科學相關公司為主。依近期持股資料,前十大成分股包括 Vertex Pharmaceuticals(約7.5%)、Amgen(約7.5%)、Gilead Sciences(約6.9%)、Regeneron Pharmaceuticals(約5.2%)、Alnylam Pharmaceuticals(約3.1%)、Revolution Medicines(約2.6%)、Biogen(約2.4%)、Argenx(ADR,約2.2%)、Illumina(約2.1%)、United Therapeutics(約2.1%)等。配息政策方面,本基金未公告定期配息,過往無配息紀錄,報酬主要來自指數成分股之資本利得。投資主題鎖定新藥研發、精準醫療、疫苗與創新生技等趨勢。

Outlook 2025–2028

因00678追蹤NBI指數,其展望取決於美國生技製藥產業而非單一公司營運。2025至2028年的成長動能可能包括:GLP-1減重與代謝藥物市場擴張、基因與細胞治療(如RNAi、基因編輯)、精準與個人化醫療、AI輔助新藥研發,以及大型藥廠面臨專利懸崖下對生技公司的併購(M&A)需求。潛在風險與挑戰包括:美國利率與資金環境對未獲利生技小型股估值的壓力、臨床試驗失敗或FDA審查不確定性、美國藥價改革(如IRA藥價談判)與健保支付政策、生技股波動度偏高,以及匯率(新台幣兌美元)波動對台幣計價淨值的影響。此外本基金規模偏小,須留意流動性與折溢價風險。以上為依產業趨勢之推估,非對基金績效之保證。

Sources(8)

This company profile is compiled from public sources (annual reports, filings, news and analyst reports), not finlab backtest data; the 2025–2028 outlook contains forward-looking estimates and is for reference only.

方法與限制

  • 所有報酬以還原股價(etl:adj_close)計算,已還原除權息與股票分割。
  • 超額報酬以發行量加權股價報酬指數(含息)為基準。
  • 估值位階與分位統計以「截至當天為止的自身歷史」滾動計算,不使用未來資訊。
  • 營收訊號的事件日對齊到公告截止日後第一個交易日,避免提前用到尚未公開的資訊。
  • 事件樣本之間日期可能重疊,統計僅描述歷史分布,樣本數較少時參考價值有限。

本頁內容為歷史資料統計與教育用途,不構成投資建議。投資一定有風險,過去績效不代表未來表現,交易前請自行評估並承擔風險。