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00740B / 富邦全球投等債
彭博10年期(以上)BBB美元息收公司債券ETF基金 (本基金之配息來源可能為收益平準金且基金並無保證收益及配息)

資料日期:2026/02/03

  • 基金淨資產(新台幣)

    70,168,851,001

  • 基金在外流通單位數(單位)

    1,783,971,000

  • 基金每單位淨值(新台幣)

    39.3330

債券
債券代碼 債券名稱 面額 金額 權重(%)
US126650CZ11 CVS 5.05 03/25/48 57,000,000 1,580,592,844 2.2525
US68389XAH89 ORCL 6 1/8 07/08/39 45,170,000 1,425,788,464 2.0319
US68389XCK90 ORCL 6.9 11/09/52 37,690,000 1,211,758,347 1.7269
US097023CX16 BA 5.93 05/01/60 37,048,000 1,153,868,161 1.6444
US097023CW33 BA 5.805 05/01/50 34,664,000 1,080,668,123 1.54
US161175BA14 CHTR 6.484 10/23/45 29,433,000 888,070,247 1.2656
US031162DS61 AMGN 5.6 03/02/43 27,600,000 874,502,224 1.2462
US871607AG29 SNPS 5.7 04/01/55 28,000,000 862,699,784 1.2294
US126650CN80 CVS 5 1/8 07/20/45 30,000,000 851,469,554 1.2134
US29279FAA75 ET 6 1/4 04/15/49 27,000,000 848,811,108 1.2096
US031162DU18 AMGN 5 3/4 03/02/63 27,300,000 841,476,903 1.1992
US031162DT45 AMGN 5.65 03/02/53 27,000,000 837,657,563 1.1937
US054989AD07 BATSLN 7.081 08/02/53 22,950,000 817,033,307 1.1643
US75513ECX76 RTX 6.4 03/15/54 22,000,000 765,112,981 1.0903
US88732JAN81 TIME WARNER CABLE INC 7.300 07/01/38 21,751,000 733,218,042 1.0449
US682680BN20 OKE 6 5/8 09/01/53 22,000,000 729,954,844 1.0402
US87264AAZ84 TMUS 4 1/2 04/15/50 27,000,000 699,597,310 0.997
US02209SBF92 MO 5.95 02/14/49 21,910,000 689,492,845 0.9826
US125523AK66 CI 4.9 12/15/48 23,938,000 668,885,169 0.9532
US87938WAC73 TELEFONICA EMISIONES SAU 7.045 06/20/36 18,844,000 663,114,606 0.945
US92857WCA62 VOD 5 3/4 06/28/54 21,000,000 643,963,081 0.9177
US097023CV59 BA 5.705 05/01/40 19,284,000 622,993,536 0.8878
US35137LAK17 FOXA 5.576 01/25/49 20,353,000 613,518,512 0.8743
US126650DV97 CVS 5 5/8 02/21/53 19,700,000 580,679,539 0.8275
US37045VAF76 GM 6 1/4 10/02/43 18,000,000 578,984,528 0.8251
US718546AH74 PSX 5 7/8 05/01/42 18,240,000 578,979,529 0.8251
US125523CW86 CI 5.6 02/15/54 19,000,000 578,741,846 0.8247
US87612GAN16 TRGP 6 1/8 05/15/55 18,000,000 567,998,557 0.8094
US501044DW87 KR 5 1/2 09/15/54 18,400,000 552,069,340 0.7867
US92343VHJ61 VZ 5 7/8 11/30/55 17,000,000 528,433,345 0.753
US666807BU55 NOC 5 1/4 05/01/50 17,269,000 517,688,199 0.7377
US68389XAM74 ORCL 5 3/8 07/15/40 17,750,000 515,325,336 0.7344
US87264ACW36 TMUS 5.65 01/15/53 17,000,000 514,860,249 0.7337
US031162CF59 AMGN 4.663 06/15/51 19,000,000 514,092,759 0.7326
US913017BT50 RTX 4 1/2 06/01/42 17,745,000 506,024,227 0.7211
US68389XCQ60 ORCL 5.55 02/06/53 18,500,000 502,654,088 0.7163
US84265VAE56 SCCO 6 3/4 04/16/40 14,018,000 502,583,544 0.7162
US04686JAH41 ATH 6 1/4 04/01/54 16,500,000 502,305,215 0.7158
US161175BN35 CHTR 5 3/4 04/01/48 18,288,000 502,192,022 0.7156
US92343VCX01 VZ 4.522 09/15/48 18,800,000 494,816,060 0.7051
US55336VAT70 MPLX 5 1/2 02/15/49 16,778,000 487,836,512 0.6952
US126650DZ02 CVS 5 7/8 06/01/53 16,000,000 487,507,984 0.6947
US88732JBB35 TIME WARNER CABLE INC 5.500 09/01/41 17,465,000 486,233,767 0.6929
US404119CV94 HCA 6 04/01/54 15,500,000 484,423,821 0.6903
US925524AX89 PARA 6.875 04/30/36 15,261,000 471,666,277 0.6721
US03740MAF77 AON 5 3/4 03/01/54 15,000,000 470,515,579 0.6705
US92343VHH06 VZ 5 3/4 11/30/45 15,000,000 469,583,040 0.6692
US097023DT94 BA 6.858 05/01/54 13,000,000 462,577,795 0.6592
US29250NBZ78 ENBCN 6.7 11/15/53 13,000,000 452,034,268 0.6442
US458140CK47 INTC 5.9 02/10/63 15,000,000 451,632,850 0.6436
US345370CQ17 F 4 3/4 01/15/43 17,600,000 444,986,482 0.6341
US88732JAJ79 TIME WARNER CABLE INC 6.550 05/01/37 13,805,000 442,136,427 0.6301
US00206RDJ86 T 4 1/2 03/09/48 17,010,000 440,676,521 0.628
US92343VHK35 VZ 6 11/30/65 14,000,000 436,333,532 0.6218
US761713BB19 BATSLN 5.85 08/15/45 14,000,000 434,888,806 0.6197
US404121AL94 HCA 5.95 09/15/54 14,000,000 434,672,318 0.6194
US25179MAL72 DVN 5.6 07/15/41 13,857,000 431,811,101 0.6153
US674599DL68 OXY 6.6 03/15/46 13,250,000 431,482,278 0.6149
US29273RAR03 ET 6 1/2 02/01/42 12,950,000 430,908,079 0.6141
US406216BK61 HAL 5 11/15/45 15,228,000 430,504,745 0.6135
US92857WCB46 VOD 5 7/8 06/28/64 13,900,000 426,452,784 0.6077
US92857WAQ33 VODAFONE GROUP NTS 6.150 02/27/37 12,414,000 426,149,794 0.6073
US35671DBC83 FREEPORT-MCMORAN C & G 5.450 03/15/43 13,770,000 422,468,723 0.602
US161175BL78 CHTR 5 3/8 05/01/47 16,000,000 420,993,819 0.5999
US25278XBB47 FANG 5.9 04/18/64 14,000,000 420,525,498 0.5993
US458140CH18 INTC 5 5/8 02/10/43 13,700,000 420,360,008 0.599
US92343VDR24 VZ 4.812 03/15/39 14,000,000 417,923,225 0.5955
US96950FAF18 WMB 6.3 04/15/40 12,250,000 415,436,376 0.592
US87938WAU71 TELEFO 5.213 03/08/47 14,372,000 403,035,002 0.5743
US126650EF39 CVS 6.05 06/01/54 12,500,000 390,265,951 0.5561
US00206RCQ39 T 4 3/4 05/15/46 14,208,000 387,961,873 0.5528
US02209SBE28 MO 5.8 02/14/39 12,000,000 387,527,191 0.5522
US458140CJ73 INTC 5.7 02/10/53 13,000,000 387,308,494 0.5519
US458140CM03 INTC 5.6 02/21/54 13,000,000 384,112,615 0.5474
US55336VAL45 MPLX 5.2 03/01/47 13,300,000 376,166,910 0.536
US42824CBW82 HPE 5.6 10/15/54 13,000,000 375,054,207 0.5345
US125523AJ93 CI 4.8 08/15/38 12,386,000 372,482,698 0.5308
US00206RDR03 T 5 1/4 03/01/37 11,463,000 363,637,685 0.5182
US75513ECS81 RTX 5 3/8 02/27/53 12,000,000 363,521,652 0.518
US04316JAP49 AJG 5.55 02/15/55 12,000,000 362,438,581 0.5165
US92343VGW81 VZ 5 1/2 02/23/54 12,000,000 362,196,216 0.5161
US31428XDW39 FDX 5 1/4 05/15/50 12,000,000 353,876,264 0.5043
US06738EAJ47 BACR 5 1/4 08/17/45 11,516,000 350,131,588 0.4989
US674599DF90 OXY 6.45 09/15/36 10,400,000 349,995,893 0.4987
US28622HAC51 ELV 5 1/8 02/15/53 12,100,000 343,376,412 0.4893
US92553PAU66 VIA 5.85 09/01/43 13,259,000 341,286,224 0.4863
US29273VAW00 ET 5.95 05/15/54 11,000,000 330,919,713 0.4716
US68389XAE58 ORCL 6 1/2 04/15/38 10,000,000 328,783,867 0.4685
US46590XAX49 JBSSBZ 6 1/2 12/01/52 10,000,000 328,417,795 0.468
US02209SAR40 MO 5 3/8 01/31/44 10,758,000 324,783,597 0.4628
US55336VAM28 MPLX 4 1/2 04/15/38 11,166,000 321,046,822 0.4575
US91913YAL48 VLO 6 5/8 06/15/37 9,268,000 320,864,684 0.4572
US50077LAZ94 KHC 4 7/8 10/01/49 11,700,000 316,835,062 0.4515
US00206RMZ28 T 6.05 08/15/56 10,000,000 315,557,910 0.4497
US65473PAU93 NI 5.85 04/01/55 10,000,000 313,165,813 0.4463
US94973VBB27 ELV 4.65 01/15/43 11,058,000 312,211,527 0.4449
US136385AL51 CNQCN 6 1/4 03/15/38 9,300,000 310,124,379 0.4419
US55336VAN01 MPLX 4.7 04/15/48 11,774,000 308,442,618 0.4395
US404119CR82 HCA 5.9 06/01/53 10,000,000 308,126,000 0.4391
US83444MAS08 SOLV 5.9 04/30/54 9,742,000 306,850,830 0.4373
US548661EM57 LOW 5 5/8 04/15/53 10,000,000 306,431,336 0.4367
US56585AAF93 MPC 6 1/2 03/01/41 8,960,000 302,615,064 0.4312
US50076QAE61 KHC 5 06/04/42 10,310,000 297,049,894 0.4233
US37045VAK61 GM 6.6 04/01/36 8,575,000 294,991,798 0.4204
US097023DU67 BA 7.008 05/01/64 8,000,000 288,361,856 0.4109
US871829BN62 SYY 6.6 04/01/50 8,257,000 288,072,823 0.4105
US87264ADD46 TMUS 6 06/15/54 9,000,000 286,461,749 0.4082
US205887CE05 CAG 5.4 11/01/48 9,937,000 276,167,795 0.3935
US036752BA01 ELV 5.65 06/15/54 9,000,000 274,390,814 0.391
US00206RND07 T 5.55 11/01/45 9,000,000 272,913,900 0.3889
US09062XAD57 BIIB 5.2 09/15/45 9,203,000 267,792,295 0.3816
US125523CF53 CI 4.8 07/15/46 9,569,000 266,876,521 0.3803
US26441CBU80 DUK 5 08/15/52 9,500,000 263,585,039 0.3756
US50247VAC37 LYB 4 7/8 03/15/44 10,000,000 261,312,863 0.3724
US126650EL07 CVS 6.2 09/15/55 8,000,000 254,827,063 0.3631
US29082HAF91 EMBRBZ 5.4 01/09/38 8,000,000 249,628,829 0.3557
US84265VAJ44 SCCO 5 7/8 04/23/45 7,525,000 246,336,478 0.351
US036752BE23 ELV 5.7 02/15/55 8,000,000 246,023,644 0.3506
US655844CS56 NSC 5.35 08/01/54 8,000,000 240,275,038 0.3424
US501044DX60 KR 5.65 09/15/64 8,000,000 239,749,913 0.3416
US90353TAQ31 UBER 5.35 09/15/54 8,000,000 239,434,333 0.3412
US29103DAM83 EMACN 4 3/4 06/15/46 8,869,000 238,993,481 0.3405
US548661EN31 LOW 5.8 09/15/62 7,700,000 237,978,720 0.3391
US832696AZ12 SJM 6 1/2 11/15/53 6,950,000 237,620,063 0.3386
US126650CY46 CVS 4.78 03/25/38 8,000,000 236,932,415 0.3376
US666807CM21 NOC 5.2 06/01/54 8,000,000 236,937,464 0.3376
US10922NAF06 BHF 4.7 06/22/47 10,150,000 235,167,912 0.3351
US68389XCV55 ORCL 5 1/2 09/27/64 9,000,000 234,695,899 0.3344
US88732JAY47 TWC 5 7/8 11/15/40 8,000,000 234,672,862 0.3344
US428236BR31 HEWLETT-PACK CO HPQ 6 09/15/41 7,230,000 226,218,098 0.3223
US571903BU68 MAR 5 1/2 04/15/37 7,000,000 225,114,259 0.3208
US98978VAH69 ZTS 4.7 02/01/43 7,722,000 221,890,290 0.3162
US50077LAM81 KHC 5.2 07/15/45 7,700,000 221,583,739 0.3157
US682680CF86 OKE 5.7 11/01/54 7,500,000 220,902,844 0.3148
US87264ADU60 TMUS 5 7/8 11/15/55 7,000,000 218,853,783 0.3118
US824348AX47 SHW 4 1/2 06/01/47 8,107,000 218,495,638 0.3113
US863667AJ04 SYK 4 5/8 03/15/46 7,485,000 209,713,409 0.2988
US60871RAD26 TAP 5 05/01/42 7,172,000 209,338,558 0.2983
US345370CS72 F 5.291 12/08/46 7,800,000 207,794,472 0.2961
US855244AS84 SBUX 4 1/2 11/15/48 7,791,000 207,672,725 0.2959
US65339KCQ13 NEE 5 1/4 02/28/53 7,000,000 204,589,883 0.2915
US87938WAX11 TELEFO 5.52 03/01/49 6,957,000 201,625,025 0.2873
US30161NBL47 EXC 5.6 03/15/53 6,600,000 200,959,577 0.2863
US115236AN13 BRO 6 1/4 06/23/55 6,000,000 195,435,539 0.2785
US55336VCD01 MPLX 6.2 09/15/55 6,000,000 189,579,004 0.2701
US718546AL86 PSX 4 7/8 11/15/44 6,755,000 188,006,933 0.2679
US29278NAR44 ET 5 05/15/50 7,000,000 186,493,263 0.2657
US054561AM77 EQH 5 04/20/48 6,499,000 183,991,121 0.2622
US84265VAG05 SCCO 5 1/4 11/08/42 5,906,000 180,631,677 0.2574
US68389XAW56 ORCL 4 1/2 07/08/44 7,100,000 176,688,414 0.2518
US37045VAJ98 GM 5.2 04/01/45 6,184,000 176,156,365 0.251
US444859CB64 HUM 5 3/4 04/15/54 6,000,000 175,406,307 0.2499
US92343VCK89 VZ 4.862 08/21/46 6,000,000 167,571,086 0.2388
US552081AM30 LYB 4 5/8 02/26/55 7,000,000 166,607,305 0.2374
US031162DK36 AMGN 4 7/8 03/01/53 6,000,000 166,340,325 0.237
US031162CD02 AMGN 4.563 06/15/48 6,000,000 161,972,066 0.2308
US404119DC05 HCA 6.2 03/01/55 5,000,000 160,354,088 0.2285
US913017CX53 RTX 4 5/8 11/16/48 5,749,000 158,291,378 0.2255
US205887CD22 CAG 5.3 11/01/38 5,000,000 148,816,483 0.212
US25179MBH51 DVN 5 3/4 09/15/54 4,700,000 141,634,734 0.2018
US404119CL13 HCA 4 5/8 03/15/52 5,500,000 141,599,326 0.2017
US55336VBT61 MPLX 4.95 03/14/52 5,270,000 140,073,490 0.1996
US06738EAV74 BACR 4.95 01/10/47 4,569,000 132,646,212 0.189
US161175CK86 CHTR 5 1/4 04/01/53 5,000,000 127,978,736 0.1823
US96949LAC90 WMB 5.1 09/15/45 4,235,000 122,777,191 0.1749
US458140BM12 INTC 4 3/4 03/25/50 4,700,000 122,627,193 0.1747
US49271VAR15 KDP 4 1/2 04/15/52 4,500,000 114,929,502 0.1637
US87938WAW38 TELEFO 4.895 03/06/48 4,290,000 114,385,789 0.163
US458140CB48 INTC 4.9 08/05/52 4,200,000 111,446,635 0.1588
US04686JAL52 ATH 6 5/8 05/19/55 3,000,000 95,467,368 0.136
US87264ADB89 TMUS 5 3/4 01/15/54 3,000,000 92,257,919 0.1314
US55336VBZ22 MPLX 5.95 04/01/55 3,000,000 91,683,248 0.1306
US29273VBB53 ET 6.05 09/01/54 3,000,000 91,458,871 0.1303
US68389XDP78 ORCL 5 7/8 09/26/45 3,000,000 87,724,929 0.125
US68389XDR35 ORCL 5.95 09/26/55 3,000,000 86,232,866 0.1228
US161175CL69 CHTR 5 1/2 04/01/63 3,400,000 85,840,979 0.1223
US68389XDT90 ORCL 6.1 09/26/65 3,000,000 85,290,860 0.1215
US29250NCD57 ENBCN 5.95 04/05/54 2,000,000 63,760,415 0.0908
US682680DD20 OKE 6 1/4 10/15/55 2,000,000 63,321,127 0.0902
US29273VBF67 ET 6.2 04/01/55 2,000,000 62,313,796 0.0888
US00206RNE89 T 5.7 11/01/54 2,000,000 60,200,672 0.0857
US25278XBA63 FANG 5 3/4 04/18/54 2,000,000 60,096,531 0.0856
US35137LAJ44 FOXA 5.476 01/25/39 1,838,000 57,689,804 0.0822
US458140BN94 INTC 4.95 03/25/60 1,700,000 44,192,497 0.0629
US37045VAP58 GM 5.15 04/01/38 1,286,000 39,110,404 0.0557
US674599EM33 OXY 6.05 10/01/54 1,200,000 36,501,750 0.052
債券合計 68,502,538,779
項目 金額
附買回債券 253,487,051
現金 (TWD) 1,947,030,314
現金 (USD) 210,004,839
應付受益權單位買回款 (TWD) 1,582,339,365
附買回債券
代號 名稱 金額
A99107 99央債甲七 253,487,051
富邦全方位入息ETF傘型之富邦彭博10年期(以上)BBB美元息收公司債券ETF證券投資信託基金 彭博10年期以上BBB美元息收公司債(中國除外)指數 差異
成分債券檔數 186 213 -27
持債比重(含息)(%) 99.28 100.00 -0.72
平均到期殖利率(%) 5.97 6.02 -0.05
平均票息率(%) 5.67 5.59 0.08
平均有效存續期間(年) 11.84 12.17 -0.33
平均到期日(年) 22.78 23.46 -0.68
特別注意事項
  • 參考匯率:
    1 USD = 31.5580 TWD 更新時間:20260203

  • 富邦全球投等債實際基金評價匯率: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。
    • 國內 ETF
    • 海外 ETF
    • 槓 / 反 ETF
    • 固定收益型 ETF
    • 主動式 ETF