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00694B / 富邦美債1-3
美國政府債券1-3年期基金

資料日期:2024/11/20

  • 基金淨資產(新台幣)

    7,865,556,829

  • 基金在外流通單位數(單位)

    187,576,000

  • 基金每單位淨值(新台幣)

    41.9326

債券
債券代碼 債券名稱 面額 金額 權重(%)
US912828Z781 T 1 1/2 01/31/27 4,630,000 141,529,112 1.7993
US91282CKK61 T 4 7/8 04/30/26 4,200,000 137,311,698 1.7457
US91282CKY65 T 4 5/8 06/30/26 4,200,000 136,917,638 1.7407
US91282CLB53 T 4 3/8 07/31/26 4,200,000 136,406,314 1.7342
US91282CKS97 T 4 7/8 05/31/26 4,100,000 134,089,225 1.7047
US91282CKH33 T 4 1/2 03/31/26 4,000,000 130,057,776 1.6535
US91282CKB62 T 4 5/8 02/28/26 3,800,000 123,704,286 1.5727
US91282CJV46 T 4 1/4 01/31/26 3,650,000 118,270,447 1.5036
US91282CKR15 T 4 1/2 05/15/27 3,500,000 114,177,912 1.4516
US91282CKJ98 T 4 1/2 04/15/27 3,500,000 114,142,347 1.4511
US912828M565 T 2 1/4 11/15/25 3,528,000 112,160,803 1.4259
US91282CBH34 T 0 3/8 01/31/26 3,612,000 111,821,847 1.4216
US91282CCW91 T 0 3/4 08/31/26 3,659,000 111,546,012 1.4181
US91282CKE02 T 4 1/4 03/15/27 3,400,000 110,268,852 1.4019
US91282CJS17 T 4 1/4 12/31/25 3,400,000 110,169,731 1.4006
US91282CBQ33 T 0 1/2 02/28/26 3,553,000 109,833,120 1.3963
US91282CLQ23 T 3 7/8 10/15/27 3,400,000 109,182,373 1.3881
US91282CDK45 T 1 1/4 11/30/26 3,569,000 109,024,213 1.386
US91282CLG41 T 3 3/4 08/15/27 3,400,000 108,880,481 1.3842
US91282CKV27 T 4 5/8 06/15/27 3,300,000 108,021,680 1.3733
US91282CLL36 T 3 3/8 09/15/27 3,400,000 107,785,280 1.3703
US91282CKZ31 T 4 3/8 07/15/27 3,300,000 107,368,910 1.365
US91282CDG33 T 1 1/8 10/31/26 3,461,000 105,720,584 1.344
US91282CBW01 T 0 3/4 04/30/26 3,427,000 105,664,304 1.3433
US91282CKA89 T 4 1/8 02/15/27 3,250,000 105,082,664 1.3359
US91282CCF68 T 0 3/4 05/31/26 3,417,000 105,061,226 1.3357
US91282CBT71 T 0 3/4 03/31/26 3,369,000 104,170,761 1.3243
US91282CBC47 T 0 3/8 12/31/25 3,332,000 103,487,310 1.3157
US9128282A70 T 1 1/2 08/15/26 3,342,000 103,412,185 1.3147
US912828X885 T 2 3/8 05/15/27 3,320,000 102,950,343 1.3088
US91282CCP41 T 0 5/8 07/31/26 3,374,000 102,926,138 1.3085
US91282CJL63 T 4 7/8 11/30/25 3,149,000 102,687,525 1.3055
US91282CCZ23 T 0 7/8 09/30/26 3,330,000 101,482,592 1.2902
US91282CJE21 T 5 10/31/25 3,088,000 100,768,819 1.2811
US91282CDQ15 T 1 1/4 12/31/26 3,300,000 100,606,045 1.279
US91282CEC10 T 1 7/8 02/28/27 3,200,000 98,466,397 1.2518
US91282CJT99 T 4 01/15/27 3,030,000 97,738,798 1.2426
US91282CCJ80 T 0 7/8 06/30/26 3,147,000 96,683,829 1.2292
US912828P469 T 1 5/8 02/15/26 3,076,000 96,577,767 1.2278
US912828U246 T 2 11/15/26 3,108,000 96,518,374 1.2271
US912828R366 T 1 5/8 05/15/26 3,085,000 96,257,913 1.2237
US91282CAZ41 T 0 3/8 11/30/25 3,072,000 95,719,844 1.2169
US91282CJP77 T 4 3/8 12/15/26 2,936,000 95,414,082 1.213
US91282CEN74 T 2 3/4 04/30/27 3,000,000 93,948,093 1.1944
US91282CEF41 T 2 1/2 03/31/27 3,000,000 93,537,281 1.1892
US91282CEW73 T 3 1/4 06/30/27 2,900,000 91,787,444 1.1669
US91282CJK80 T 4 5/8 11/15/26 2,797,000 91,326,005 1.161
US91282CET45 T 2 5/8 05/31/27 2,920,000 91,065,137 1.1577
US91282CFB28 T 2 3/4 07/31/27 2,800,000 87,379,547 1.1109
US91282CJC64 T 4 5/8 10/15/26 2,626,000 85,706,040 1.0896
US91282CHY03 T 4 5/8 09/15/26 2,591,000 84,530,838 1.0746
US91282CFM82 T 4 1/8 09/30/27 2,600,000 84,066,130 1.0687
US9128282R06 T 2 1/4 08/15/27 2,700,000 83,122,045 1.0567
US91282CAL54 T 0 3/8 09/30/27 2,800,000 81,428,285 1.0352
US912828V988 T 2 1/4 02/15/27 2,620,000 81,363,622 1.0344
US91282CLH24 T 3 3/4 08/31/26 2,500,000 80,338,214 1.0213
US91282CGE57 T 3 7/8 01/15/26 2,465,000 79,579,198 1.0117
US91282CAD39 T 0 3/8 07/31/27 2,700,000 79,013,193 1.0045
US91282CHU80 T 4 3/8 08/15/26 2,432,000 79,004,227 1.0044
US91282CHM64 T 4 1/2 07/15/26 2,343,000 76,252,692 0.9694
US91282CGV72 T 3 3/4 04/15/26 2,367,000 76,199,314 0.9687
US91282CHH79 T 4 1/8 06/15/26 2,348,000 75,959,802 0.9657
US91282CGR60 T 4 5/8 03/15/26 2,304,000 75,027,274 0.9538
US91282CGA36 T 4 12/15/25 2,310,000 74,668,975 0.9493
US91282CFW64 T 4 1/2 11/15/25 2,298,000 74,654,107 0.9491
US91282CGL90 T 4 02/15/26 2,304,000 74,472,112 0.9468
US91282CHB00 T 3 5/8 05/15/26 2,313,000 74,308,340 0.9447
US912828ZV59 T 0 1/2 06/30/27 2,300,000 67,756,747 0.8614
US91282CLP40 T 3 1/2 09/30/26 2,000,000 63,971,244 0.8133
US91282CFH97 T 3 1/8 08/31/27 2,000,000 62,977,036 0.8006
US912828ZN34 T 0 1/2 04/30/27 1,950,000 57,787,224 0.7346
US912828ZS21 T 0 1/2 05/31/27 1,900,000 56,127,174 0.7135
US9128286F22 T 2 1/2 02/28/26 1,626,000 51,571,483 0.6556
US9128286A35 T 2 5/8 01/31/26 1,586,000 50,439,568 0.6412
US9128286L99 T 2 1/4 03/31/26 1,592,000 50,244,769 0.6387
US9128287B09 T 1 7/8 06/30/26 1,486,000 46,411,252 0.59
US912828YQ73 T 1 5/8 10/31/26 1,504,000 46,414,604 0.59
US9128286X38 T 2 1/8 05/31/26 1,476,000 46,353,519 0.5893
US9128285N64 T 2 7/8 11/30/25 1,450,000 46,351,566 0.5892
US912828YD60 T 1 3/8 08/31/26 1,482,000 45,703,721 0.581
US912828YX25 T 1 3/4 12/31/26 1,400,000 43,142,953 0.5485
US912828Y958 T 1 7/8 07/31/26 1,377,000 42,919,620 0.5456
US912828ZE35 T 0 5/8 03/31/27 1,380,000 41,158,067 0.5232
US9128285T35 T 2 5/8 12/31/25 1,292,000 41,140,279 0.523
US9128286S43 T 2 3/8 04/30/26 1,229,000 38,802,249 0.4933
US912828YU85 T 1 5/8 11/30/26 1,247,000 38,402,742 0.4882
US9128285J52 T 3 10/31/25 1,189,000 38,101,775 0.4844
US912828YG91 T 1 5/8 09/30/26 1,161,000 35,901,502 0.4564
US912828ZB95 T 1 1/8 02/28/27 800,000 24,202,657 0.3077
US91282CAH43 T 0 1/2 08/31/27 800,000 23,423,497 0.2977
US91282CAT80 T 0 1/4 10/31/25 500,000 15,613,003 0.1984
US912810EW46 T 6 02/15/26 367,000 12,135,266 0.1542
債券合計 7,775,858,989 98.8549
項目 金額
現金 (TWD) 3,018,675
現金 (USD) 33,001,899
應付受益權單位買回款 (TWD) 83,865,280
富邦美國政府債券ETF傘型之富邦美國政府債券1-3年期證券投資信託基金 富時美國政府債券1-3年期指數 差異
成分債券檔數 92 92 0
持債比重(%) 98.85 100.00 -1.15
平均到期殖利率(%) 4.32 4.34 -0.02
平均票息率(%) 2.83 2.78 0.05
平均有效存續期間(年) 1.74 1.76 -0.02
平均到期日(年) 1.84 1.85 -0.01
特別注意事項
  • 參考匯率:
    1 USD = 32.4650 TWD 更新時間:20241120

  • 富邦美債1-3實際基金評價匯率:依信託契約第三十一條第二項所訂,本基金國外資產淨值之匯率兌換,由外幣轉換為美元,再由美元轉換為新臺幣,應以計算日前一營業日台北時間截至下午三時由彭博資訊(Bloomberg)所取得匯率為計算依據。如當日無法取得彭博資訊(Bloomberg)所提供之匯率,以路透社(Reuters)所提供之匯率替代之。如均無法取得前述匯率時,則以彭博資訊(Bloomberg)最近之收盤匯率為準。但基金保管機構、國外受託保管機構與其他指定交易銀行間之匯款,其匯率以實際匯款時之匯率為準。
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