[{"月別":"2021-04","基金運用餘額（金額）":"10785759150","基金收益數（金額）":"26171807","收益率":"0.24","備註":""},{"月別":"2021-05","基金運用餘額（金額）":"10756585077","基金收益數（金額）":"32668778","收益率":"0.30","備註":""},{"月別":"2021-06","基金運用餘額（金額）":"10735799233","基金收益數（金額）":"39063215","收益率":"0.36","備註":""},{"月別":"2021-07","基金運用餘額（金額）":"10669752082","基金收益數（金額）":"45582556","收益率":"0.42","備註":""},{"月別":"2021-08","基金運用餘額（金額）":"10612907011","基金收益數（金額）":"52135610","收益率":"0.48","備註":""},{"月別":"2021-09","基金運用餘額（金額）":"10560251553","基金收益數（金額）":"58684916","收益率":"0.54","備註":""},{"月別":"2021-10","基金運用餘額（金額）":"10535562518","基金收益數（金額）":"65382076","收益率":"0.61","備註":""},{"月別":"2021-11","基金運用餘額（金額）":"10499572661","基金收益數（金額）":"71958684","收益率":"0.67","備註":""},{"月別":"2021-12","基金運用餘額（金額）":"10389751803","基金收益數（金額）":"78680845","收益率":"0.74","備註":""},{"月別":"2022-01","基金運用餘額（金額）":"10333936274","基金收益數（金額）":"6680102","收益率":"0.06","備註":""},{"月別":"2022-02","基金運用餘額（金額）":"10311129145","基金收益數（金額）":"12976219","收益率":"0.13","備註":""},{"月別":"2022-03","基金運用餘額（金額）":"10271227610","基金收益數（金額）":"20342263","收益率":"0.20","備註":""},{"月別":"2022-04","基金運用餘額（金額）":"10238239076","基金收益數（金額）":"28831512","收益率":"0.28","備註":""}]