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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:2025/11/14

  • 基金淨資產(新台幣)

    7,147,384,636

  • 基金在外流通單位數(單位)

    174,076,000

  • 基金每單位淨值(新台幣)

    41.0590

債券
債券代碼 債券名稱 面額 金額 權重(%)
US912828Z781 T 1 1/2 01/31/27 3,930,000 119,279,664 1.6688
US91282CMP31 T 4 1/8 02/28/27 3,600,000 112,764,152 1.5776
US91282CLY56 T 4 1/4 11/30/26 3,400,000 106,487,085 1.4898
US91282CMV09 T 3 7/8 03/31/27 3,300,000 103,077,950 1.4421
US91282CBP59 T 1 1/8 02/29/28 3,400,000 100,193,942 1.4018
US91282CKJ98 T 4 1/2 04/15/27 3,100,000 97,664,528 1.3664
US91282CMH15 T 4 1/8 01/31/27 3,100,000 97,042,106 1.3577
US91282CLL36 T 3 3/8 09/15/27 3,100,000 96,151,787 1.3452
US91282CLX73 T 4 1/8 11/15/27 3,050,000 95,948,288 1.3424
US91282CMF58 T 4 1/4 01/15/28 3,000,000 94,685,650 1.3247
US91282CMB45 T 4 12/15/27 3,000,000 94,203,775 1.318
US91282CNM90 T 3 7/8 07/15/28 3,000,000 94,064,988 1.316
US91282CME83 T 4 1/4 12/31/26 3,000,000 94,006,577 1.3152
US91282CLS88 T 4 1/8 10/31/26 3,000,000 93,791,246 1.3122
US91282CNE74 T 3 7/8 05/31/27 3,000,000 93,769,284 1.3119
US91282CLG41 T 3 3/4 08/15/27 3,000,000 93,637,880 1.31
US91282CNL18 T 3 3/4 06/30/27 3,000,000 93,623,301 1.3098
US91282CDG33 T 1 1/8 10/31/26 3,061,000 93,042,388 1.3017
US9128284N73 T 2 7/8 05/15/28 3,000,000 91,830,757 1.2848
US9128284V99 T 2 7/8 08/15/28 3,000,000 91,655,522 1.2823
US91282CKZ31 T 4 3/8 07/15/27 2,900,000 91,409,485 1.2789
US91282CKE02 T 4 1/4 03/15/27 2,900,000 91,014,231 1.2733
US91282CBJ99 T 0 3/4 01/31/28 3,100,000 90,764,777 1.2699
US91282CND91 T 3 3/4 05/15/28 2,900,000 90,654,302 1.2683
US91282CKA89 T 4 1/8 02/15/27 2,850,000 89,254,219 1.2487
US91282CDK45 T 1 1/4 11/30/26 2,919,000 88,679,949 1.2407
US91282CCH25 T 1 1/4 06/30/28 3,000,000 87,982,863 1.2309
US91282CMS79 T 3 7/8 03/15/28 2,800,000 87,766,773 1.2279
US91282CMW81 T 3 3/4 04/15/28 2,800,000 87,500,989 1.2242
US912828X885 T 2 3/8 05/15/27 2,820,000 86,231,742 1.2064
US91282CKV27 T 4 5/8 06/15/27 2,700,000 85,364,956 1.1943
US91282CJT99 T 4 01/15/27 2,730,000 85,333,365 1.1939
US91282CKR15 T 4 1/2 05/15/27 2,700,000 85,134,906 1.1911
US91282CLQ23 T 3 7/8 10/15/27 2,700,000 84,507,422 1.1823
US91282CEF41 T 2 1/2 03/31/27 2,700,000 82,805,394 1.1585
US91282CJP77 T 4 3/8 12/15/26 2,636,000 82,690,284 1.1569
US91282CBS98 T 1 1/4 03/31/28 2,800,000 82,594,392 1.1555
US9128283W81 T 2 3/4 02/15/28 2,700,000 82,568,867 1.1552
US91282CDQ15 T 1 1/4 12/31/26 2,700,000 81,859,121 1.1453
US91282CJA09 T 4 5/8 09/30/28 2,500,000 80,012,119 1.1194
US912828U246 T 2 11/15/26 2,608,000 79,894,992 1.1178
US91282CMN82 T 4 1/4 02/15/28 2,500,000 78,947,310 1.1045
US91282CJK80 T 4 5/8 11/15/26 2,497,000 78,466,661 1.0978
US91282CNH06 T 3 7/8 06/15/28 2,500,000 78,393,643 1.0968
US91282CPE56 T 3 1/2 10/31/27 2,500,000 77,715,208 1.0873
US91282CPC90 T 3 1/2 10/15/28 2,500,000 77,626,967 1.086
US91282CET45 T 2 5/8 05/31/27 2,520,000 77,306,545 1.0816
US91282CEC10 T 1 7/8 02/28/27 2,500,000 76,124,069 1.065
US91282CBB63 T 0 5/8 12/31/27 2,600,000 76,099,944 1.0647
US91282CNP22 T 3 7/8 07/31/27 2,400,000 75,056,325 1.0501
US91282CGP05 T 4 02/29/28 2,350,000 73,838,713 1.033
US91282CFB28 T 2 3/4 07/31/27 2,400,000 73,677,842 1.0308
US91282CBZ32 T 1 1/4 04/30/28 2,500,000 73,598,963 1.0297
US91282CCE93 T 1 1/4 05/31/28 2,500,000 73,452,933 1.0276
US91282CCY57 T 1 1/4 09/30/28 2,500,000 72,905,341 1.02
US91282CCV19 T 1 1/8 08/31/28 2,500,000 72,777,536 1.0182
US91282CHK09 T 4 06/30/28 2,300,000 72,351,652 1.0122
US91282CFM82 T 4 1/8 09/30/27 2,300,000 72,304,076 1.0116
US91282CEN74 T 2 3/4 04/30/27 2,350,000 72,280,155 1.0112
US91282CGT27 T 3 5/8 03/31/28 2,300,000 71,691,093 1.003
US912828V988 T 2 1/4 02/15/27 2,320,000 71,015,786 0.9935
US91282CAL54 T 0 3/8 09/30/27 2,400,000 70,418,440 0.9852
US9128282R06 T 2 1/4 08/15/27 2,300,000 69,983,772 0.9791
US91282CEW73 T 3 1/4 06/30/27 2,250,000 69,672,563 0.9747
US91282CAD39 T 0 3/8 07/31/27 2,300,000 67,820,172 0.9488
US9128283F58 T 2 1/4 11/15/27 2,200,000 66,748,206 0.9338
US91282CAU53 T 0 1/2 10/31/27 2,200,000 64,539,546 0.9029
US91282CHX20 T 4 3/8 08/31/28 2,000,000 63,532,680 0.8888
US91282CHQ78 T 4 1/8 07/31/28 2,000,000 63,118,906 0.8831
US91282CFU09 T 4 1/8 10/31/27 2,000,000 62,907,129 0.8801
US91282CGC91 T 3 7/8 12/31/27 2,000,000 62,646,752 0.8764
US91282CFZ95 T 3 7/8 11/30/27 2,000,000 62,632,110 0.8762
US91282CNU17 T 3 5/8 08/15/28 2,000,000 62,325,501 0.872
US91282CNV99 T 3 5/8 08/31/27 2,000,000 62,303,570 0.8716
US91282CPB18 T 3 1/2 09/30/27 2,000,000 62,174,596 0.8698
US91282CGH88 T 3 1/2 01/31/28 2,000,000 62,164,815 0.8697
US91282CHA27 T 3 1/2 04/30/28 2,000,000 62,150,235 0.8695
US91282CNY39 T 3 3/8 09/15/28 2,000,000 61,906,868 0.8661
US91282CFH97 T 3 1/8 08/31/27 2,000,000 61,768,112 0.8642
US91282CAH43 T 0 1/2 08/31/27 2,000,000 58,964,342 0.8249
US91282CAY75 T 0 5/8 11/30/27 2,000,000 58,684,464 0.821
US91282CCR07 T 1 07/31/28 2,000,000 58,139,286 0.8134
US912828ZV59 T 0 1/2 06/30/27 1,900,000 56,295,920 0.7876
US912828ZN34 T 0 1/2 04/30/27 1,750,000 52,104,903 0.729
US912828ZS21 T 0 1/2 05/31/27 1,700,000 50,489,988 0.7064
US91282CMY48 T 3 3/4 04/30/27 1,600,000 49,914,882 0.6983
US91282CHE49 T 3 5/8 05/31/28 1,500,000 46,747,771 0.654
US912828YQ73 T 1 5/8 10/31/26 1,304,000 39,831,679 0.5572
US912828YU85 T 1 5/8 11/30/26 1,247,000 38,029,851 0.532
US912828YX25 T 1 3/4 12/31/26 1,200,000 36,586,282 0.5118
US912828ZE35 T 0 5/8 03/31/27 1,180,000 35,281,516 0.4936
US912828ZB95 T 1 1/8 02/28/27 800,000 24,130,914 0.3376
US912810FB99 T 6 1/8 11/15/27 380,000 12,395,361 0.1734
債券合計 7,032,987,912
項目 金額
現金 (TWD) 45,544,753
現金 (USD) 11,681,008
應付受益權單位買回款 (TWD) 20,496,715
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 93 93 0
持債比重(含息)(%) 99.20 100.00 -0.80
平均到期殖利率(%) 3.61 3.64 -0.03
平均票息率(%) 2.97 2.98 -0.01
平均有效存續期間(年) 1.75 1.79 -0.04
平均到期日(年) 1.85 1.88 -0.03
特別注意事項
  • 參考匯率:
    1 USD = 31.1530 TWD 更新時間:20251114

  • 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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