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00741B / 富邦全球非投等債
彭博優選1-5年非投資等級債券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:2026/04/02

  • 基金淨資產(新台幣)

    553,623,155

  • 基金在外流通單位數(單位)

    14,628,000

  • 基金每單位淨值(新台幣)

    37.8468

債券
債券代碼 債券名稱 面額 金額 權重(%)
USU25507AA97 DISH 11 3/4 11/15/27 320,000 10,565,903 1.9085
US88033GDQ01 THC 6 1/8 06/15/30 320,000 10,343,532 1.8683
USU2285XAG17 CSCHLD 5 3/8 02/01/28 400,000 9,441,813 1.7054
USU8936PAX16 TDG 6 3/4 08/15/28 290,000 9,406,393 1.699
US278768AC00 SATS 10 3/4 11/30/29 260,000 8,985,662 1.623
USU9220NAC57 VENLNG 9 1/2 02/01/29 240,000 8,276,490 1.4949
USC07885AL76 BHCCN 11 09/30/28 250,000 8,190,064 1.4793
USU18898AA16 TIBX 9 09/30/29 250,000 7,825,572 1.4135
USU12501BQ19 CHTR 6 3/8 09/01/29 240,000 7,738,299 1.3977
USU17127AW80 CYH 5 1/4 05/15/30 250,000 7,553,464 1.3643
USU5763HAE54 BWY 7 7/8 04/15/30 220,000 7,052,265 1.2738
USJ64264AK09 RAKUTN 9 3/4 04/15/29 200,000 6,857,914 1.2387
USU0379NAA73 APLD 9 1/4 12/15/30 200,000 6,824,576 1.2327
USG4003HAG95 EGBLFN 12 11/30/28 200,000 6,821,889 1.2322
USU64059AA31 NLSN 9.29 04/15/29 210,000 6,747,967 1.2188
USL2000XAB66 ISATLN 9 09/15/29 200,000 6,747,407 1.2187
USU1828LAE84 CCO 7 7/8 04/01/30 200,000 6,705,814 1.2112
USU46009AM50 IRM 7 02/15/29 205,000 6,687,190 1.2078
USQ60976AD18 MINAU 9 1/4 10/01/28 200,000 6,638,627 1.1991
USU0131NAA64 AGKLN 7 05/21/30 200,000 6,542,261 1.1817
USC6900PAN99 BCULC 6 1/8 06/15/29 200,000 6,505,980 1.1751
USJ57160CX92 NSANY 7 1/2 07/17/30 200,000 6,468,483 1.1683
USG98149AD29 WYNMAC 5 1/2 10/01/27 200,000 6,341,338 1.1454
USU4609CAB38 IONPLA 9 1/2 05/30/29 200,000 6,057,808 1.0942
USG76098AA37 ZEGLN 8 5/8 07/15/29 180,000 6,042,604 1.0914
USU85440AF96 SPLS 10 3/4 09/01/29 200,000 5,965,217 1.0774
USU2541MAA81 DTV 5 7/8 08/15/27 184,000 5,876,712 1.0615
US682691AH34 OMF 6 5/8 05/15/29 180,000 5,816,394 1.0506
USU82764AM01 SIRI 5 08/01/27 179,000 5,713,009 1.0319
USU8841RAB97 TIBX 6 1/2 03/31/29 180,000 5,643,511 1.0193
USU4R90AAC29 HLF 12 1/4 04/15/29 150,000 5,105,235 0.9221
USU8528KAA61 WULF 7 3/4 10/15/30 150,000 5,075,768 0.9168
USU7410WAD75 PRIHEA 9 3/8 09/01/29 150,000 4,962,797 0.8964
USG05891AL32 ASTONM 10 03/31/29 200,000 4,864,560 0.8786
USU0188CAJ37 ALIANT 6 3/4 04/15/28 150,000 4,829,862 0.8724
USU02413AH27 AAL 7 1/4 02/15/28 150,000 4,828,135 0.872
USU96089AG98 WCC 7 1/4 06/15/28 150,000 4,818,297 0.8703
USU2069EAA83 CRWV 9 1/4 06/01/30 150,000 4,752,693 0.8584
USU15410AA86 CDK 8 06/15/29 200,000 4,747,526 0.8575
USU4434TAH42 HBGCN 7 1/4 06/15/30 140,000 4,625,987 0.8355
USU91505AT17 UVN 8 08/15/28 140,000 4,558,262 0.8233
US058498AZ97 BALL 6 06/15/29 140,000 4,551,499 0.8221
USU55288AB72 MCFE 7 3/8 02/15/30 170,000 4,526,918 0.8176
USG8962UAA37 TOUCAN 9 1/2 05/15/30 150,000 4,255,746 0.7687
USU91913AE02 VEGLPL 6 1/8 12/15/30 120,000 3,942,211 0.712
USU12501AV13 CHTR 5 02/01/28 124,000 3,932,543 0.7103
USU2913CAA00 EMECLI 6 5/8 12/15/30 120,000 3,922,324 0.7084
USU88037AH63 TEN 8 11/17/28 120,000 3,846,229 0.6947
USU6700TAG86 HNDLIN 6 7/8 01/30/30 110,000 3,570,616 0.6449
US451102BZ91 ICAHN ENTERPRISES/FIN 5.250 05/15/27 111,000 3,482,403 0.629
USU6377RAA78 NCRATL 9 1/2 04/01/29 100,000 3,421,022 0.6179
USU24506AC81 KEHEFO 9 02/15/29 100,000 3,336,655 0.6026
USU92728AA90 VOLTAG 7 3/8 11/01/30 100,000 3,322,417 0.6001
USG90073AL42 RIG 8 1/4 05/15/29 100,000 3,316,690 0.599
USU6500TAH87 NEP 7 1/4 01/15/29 100,000 3,316,210 0.599
USU6536LAB63 NGL 8 1/8 02/15/29 100,000 3,313,523 0.5985
USU63661AA74 MENTOR 10 1/2 12/15/30 100,000 3,311,635 0.5981
USU3000TAB36 FRTITA 6 3/4 01/15/30 110,000 3,302,936 0.5966
USC0787WAA39 BLCOCN 8 3/8 10/01/28 100,000 3,302,357 0.5964
USU8302LAL28 TEP 7 3/8 02/15/29 100,000 3,295,606 0.5952
USU8675JAB80 SUN 7 05/01/29 100,000 3,290,007 0.5942
USU25783AJ77 RRD 9 1/2 08/01/29 100,000 3,261,340 0.589
USU0201TAK61 UNSEAM 6 7/8 06/15/30 100,000 3,256,765 0.5882
USU4260LAD92 HRI 6 5/8 06/15/29 100,000 3,255,806 0.588
USU1230PAB77 CZR 7 02/15/30 100,000 3,244,543 0.586
USU8886YAC85 TKCHOL 8 1/2 08/15/30 100,000 3,242,624 0.5857
USU0126BAA99 ACI 6 1/2 02/15/28 100,000 3,240,416 0.5853
USU0055LAH79 ACRISU 7 1/2 11/06/30 100,000 3,234,657 0.5842
USP2121VAT19 CCL 5 3/4 03/15/30 100,000 3,232,322 0.5838
USU07798AA69 BRBR 7 03/15/30 100,000 3,224,483 0.5824
USU53897AH41 LYV 6 1/2 05/15/27 100,000 3,204,295 0.5787
USU76664AA65 RITM 8 04/01/29 100,000 3,193,193 0.5767
US69331CAJ71 PCG 5 1/4 07/01/30 100,000 3,170,254 0.5726
USU2038JAD91 COMSTOCK RESOURCES INC 6.75 03/01/2029 100,000 3,165,486 0.5717
USU6547TAK61 NSANY 5 5/8 09/29/28 100,000 3,148,722 0.5687
USG6436QAV89 NCLH 5 7/8 01/15/31 100,000 3,118,584 0.5633
USY75638AF67 SSW 5 1/2 08/01/29 100,000 3,024,105 0.5462
USU6415RAE37 NWL 8 1/2 06/01/28 90,000 2,991,817 0.5404
USU7507WAA72 RKT 6 1/8 08/01/30 90,000 2,930,916 0.5294
USU1852LAQ06 CLF 6 7/8 11/01/29 90,000 2,883,376 0.5208
USU00406AA35 AQUARI 7 7/8 11/01/29 100,000 2,881,059 0.5204
USU85238AA89 SMYREA 6 11/01/28 90,000 2,868,460 0.5181
USU50044AB94 KGS 7 1/4 02/15/29 80,000 2,653,505 0.4792
USU26947AA69 EQMSRM 9 05/15/28 80,000 2,643,882 0.4775
USU9033CAC65 USAC 7 1/8 03/15/29 80,000 2,627,322 0.4745
USU83067AL95 SM 6 3/4 08/01/29 80,000 2,608,662 0.4711
USU49467AB60 KNTK 6 5/8 12/15/28 80,000 2,604,311 0.4704
US911365BL76 URI 5 1/4 01/15/30 80,000 2,558,164 0.462
USU42804AY78 HTZ 12 5/8 07/15/29 90,000 2,557,133 0.4618
USU8526DAB20 SS&C TECHNOLOGIES INC REG S 5.500 09/30/27 79,000 2,527,981 0.4566
USU91483AA22 UNIT 6 1/2 02/15/29 80,000 2,517,339 0.4547
USU53039AK60 RGCARE 11 10/15/30 70,000 2,415,342 0.4362
USU1052DAB92 BRANDI 10 3/8 08/01/30 80,000 2,354,016 0.4252
USC10602BL06 BBDBCN 7 1/2 02/01/29 70,000 2,327,529 0.4204
USU16134AB13 GTLS 7 1/2 01/01/30 70,000 2,326,229 0.4201
USU24570AC41 DKL 8 5/8 03/15/29 70,000 2,319,734 0.419
USU7089FAE26 PFSI 7 7/8 12/15/29 70,000 2,307,708 0.4168
USU00217AE63 AMWINS 6 3/8 02/15/29 70,000 2,257,139 0.4077
US88033GDK31 THC 6 1/8 10/01/28 70,000 2,242,626 0.405
USU5561TAB99 MADISON IAQ LLC 5.875 06/30/2029 70,000 2,221,439 0.4012
USU42511AJ14 GTN 10 1/2 07/15/29 63,000 2,147,182 0.3878
US69318FAJ75 PBF HOLDING CO LLC 6.000 02/15/28 67,000 2,127,542 0.3842
USU5763HAF20 BWY 9 1/4 04/15/30 70,000 2,098,106 0.3789
USU7359PAA13 NEFINA 8 04/15/30 60,000 1,991,166 0.3596
US55342UAH77 MPW 5 10/15/27 65,000 1,963,359 0.3546
USC25092AB04 POWSOL 6 3/4 05/15/28 60,000 1,945,037 0.3513
USU17176AL91 CINEMARK USA INC 5.25 07/15/2028 60,000 1,912,115 0.3453
USU12501AR01 CHTR 5 1/8 05/01/27 55,000 1,758,808 0.3176
USU9700AAA61 UNVR 8 1/2 06/15/30 50,000 1,662,249 0.3002
USU74922AA01 AAWW 8 1/2 02/15/30 50,000 1,650,395 0.2981
USU60731AA19 MOHEGN 8 1/4 04/15/30 50,000 1,647,532 0.2975
USU9220MAD57 VENTGL 6 1/4 01/15/30 50,000 1,638,956 0.296
USU0550HAA15 AXON 6 1/8 03/15/30 50,000 1,638,652 0.2959
USU3133WAA81 FREMOR 9 1/4 02/01/29 50,000 1,626,127 0.2937
USU0073LAB81 AAP 7 08/01/30 50,000 1,623,711 0.2932
USU6006UAA98 MRP 6 3/8 08/01/30 50,000 1,611,954 0.2911
USU66646AB35 NLOK 6 3/4 09/30/27 50,000 1,610,178 0.2908
USU66962BD95 NRG 5 3/4 07/15/29 50,000 1,597,780 0.2886
USU3458LAJ09 FTAI 5 1/2 05/01/28 50,000 1,597,700 0.2885
US911365BG81 URI 4 7/8 01/15/28 50,000 1,593,205 0.2877
USU1251UAA26 CHDN 5 3/4 04/01/30 50,000 1,592,549 0.2876
US398433AP71 GFF 5 3/4 03/01/28 50,000 1,591,653 0.2874
USU0389LAE12 ARMK 5 02/01/28 50,000 1,590,950 0.2873
US69331CAH16 PG&E CORP 5.000 07/01/28 50,000 1,588,742 0.2869
USU9033UAE20 USACUT 9 3/4 05/15/29 50,000 1,585,238 0.2863
US552953CH22 MGM 4 3/4 10/15/28 50,000 1,574,361 0.2843
USU1230PAA94 CAESARS ENTERTAIN INC 4.625 10/15/2029 50,000 1,536,448 0.2775
USU1780VAA09 CROSIN 6 1/2 10/01/30 50,000 1,528,801 0.2761
USU5935JAA26 STGW 5 5/8 08/15/29 50,000 1,528,577 0.2761
USU12501BA66 CCO HLDGS LLC/CAP CORP REG S 4.75 03/01/2030 50,000 1,522,323 0.2749
USU1900QAB42 NOVHOL 8 3/4 04/15/30 50,000 1,507,813 0.2723
USX9814HAC70 VSTJET 6 3/8 02/01/30 50,000 1,410,344 0.2547
USU8068AAA44 SCGALO 6 5/8 03/01/30 50,000 1,404,585 0.2537
USU86043AK98 SABHLD 11 1/8 07/15/30 50,000 1,368,351 0.2471
USU1253VAA80 PETSAF 9 1/2 10/15/29 50,000 1,365,248 0.2466
USU8119QAA86 SEE 6 1/8 02/01/28 40,000 1,299,353 0.2346
USU2468WAA54 HARMID 7 1/2 09/01/28 40,000 1,287,925 0.2326
US629377CE03 NRG 5 3/4 01/15/28 40,000 1,281,872 0.2315
USU98347AL87 WYNNLV 5 1/4 05/15/27 40,000 1,278,493 0.2309
US817565CE22 SCI 5 1/8 06/01/29 40,000 1,276,599 0.2305
USU27827AA96 EPC 5 1/2 06/01/28 40,000 1,272,606 0.2298
USU07409AC68 BGS 8 09/15/28 40,000 1,260,398 0.2276
USU64064AA34 NSCO 5 1/2 04/15/29 40,000 1,251,554 0.226
US552953CK50 MGM 6 1/8 09/15/29 29,000 936,900 0.1692
USU3154WAB01 FGP 5 7/8 04/01/29 30,000 925,775 0.1672
USU9100BAA09 UWMC 6 5/8 02/01/30 30,000 914,795 0.1652
US63938CAM01 NAVIENT CORP 5.500 03/15/29 30,000 890,866 0.1609
USU0082FAC87 AETUNI 7 1/2 10/01/29 20,000 668,201 0.1206
USU9220NAA91 VENLNG 8 1/8 06/01/28 20,000 655,896 0.1184
USU4281PAF00 HESM 5 7/8 03/01/28 20,000 644,858 0.1164
US29261AAA88 EHC 4 1/2 02/01/28 20,000 634,806 0.1146
USU4506JAA44 INTMAT 6 1/2 08/01/29 20,000 626,296 0.1131
USU8271NAA91 SIMMONS FOOD INC/SIMMONS 4.625 03/01/2029 20,000 615,059 0.111
USU4329KAA61 HGVLLC 5 06/01/29 20,000 610,958 0.1103
USU4866DAC75 YUM 4 3/4 06/01/27 10,000 319,617 0.0577
USU85343AD05 BMCAUS 4 3/4 01/15/28 10,000 316,017 0.057
US86765LAT44 SUNOCO LP/FINANCE CORP 4.500 05/15/29 10,000 313,234 0.0565
USU04010AA92 ACOM 4 1/4 06/01/28 10,000 308,909 0.0557
債券合計 529,684,835
項目 金額
現金 (TWD) 4,100,503
現金 (USD) 13,979,160
富邦全方位入息ETF傘型之富邦彭博優選1-5年非投資等級債券ETF證券投資信託基金 彭博優選1-5年非投資等級(中國除外)債券指數 差異
成分債券檔數 158 384 -226
持債比重(含息)(%) 97.34 100.00 -2.66
平均到期殖利率(%) 7.70 7.72 -0.02
平均票息率(%) 7.47 6.72 0.75
平均有效存續期間(年) 1.83 2.12 -0.29
平均到期日(年) 2.11 3.47 -1.36
特別注意事項
  • 參考匯率:
    1 USD = 31.9940 TWD 更新時間:20260402

  • 富邦全球非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。
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