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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:2025/07/11

  • 基金淨資產(新台幣)

    585,279,442

  • 基金在外流通單位數(單位)

    16,628,000

  • 基金每單位淨值(新台幣)

    35.1984

債券
債券代碼 債券名稱 面額 金額 權重(%)
USU2285XAG17 CSCHLD 5 3/8 02/01/28 400,000 10,809,764 1.8469
US88033GDS66 TENET HEALTHCARE CORP 144A W/RTS 6.250 02/01/27 310,000 9,044,704 1.5453
USU8936PAX16 TDG 6 3/4 08/15/28 290,000 8,633,023 1.475
USU1828LAD02 CCO 9 09/15/28 280,000 8,561,308 1.4627
USU9220NAC57 VENLNG 9 1/2 02/01/29 240,000 7,604,470 1.2992
USU12501AR01 CHTR 5 1/8 05/01/27 260,000 7,552,680 1.2904
USU18898AA16 TIBX 9 09/30/29 250,000 7,552,932 1.2904
USC07885AL76 BHCCN 11 09/30/28 250,000 7,270,959 1.2423
USU7166KAB36 PETM 7 3/4 02/15/29 250,000 7,071,824 1.2082
USU91505AP94 UVN 6 5/8 06/01/27 240,000 7,003,543 1.1966
USU42511AJ14 GTN 10 1/2 07/15/29 220,000 6,953,407 1.188
US278768AC00 SATS 10 3/4 11/30/29 220,000 6,733,556 1.1504
USU8357DAA82 MEDIND 6 1/4 04/01/29 220,000 6,547,904 1.1187
USU5763HAD71 BWY 7 7/8 04/15/27 220,000 6,501,941 1.1109
USG4003HAG95 EGBLFN 12 11/30/28 200,000 6,457,736 1.1033
USJ64264AK09 RAKUTN 9 3/4 04/15/29 200,000 6,400,583 1.0935
USU25507AA97 DISH 11 3/4 11/15/27 210,000 6,388,091 1.0914
USG76098AA37 ZEGLN 8 5/8 07/15/29 200,000 6,230,054 1.0644
USU82764AM01 SIRI 5 08/01/27 215,000 6,206,222 1.0603
USU46009AM50 IRM 7 02/15/29 205,000 6,154,827 1.0516
USU2526KAA17 SOLEIN 9 3/4 11/15/28 200,000 6,130,005 1.0473
USL5581PAB33 IONTRA 9 1/2 05/30/29 200,000 6,077,118 1.0383
USU0131NAA64 AGKLN 7 05/21/30 200,000 5,985,074 1.0226
USQ60976AD18 MINAU 9 1/4 10/01/28 200,000 5,984,373 1.0224
USL2000XAB66 ISATLN 9 09/15/29 200,000 5,945,802 1.0158
USU64059AA31 NLSN 9.29 04/15/29 210,000 5,937,265 1.0144
USG4863AAK46 IGT 6 1/4 01/15/27 200,000 5,907,174 1.0092
USU0125LAB63 ACI 5 7/8 02/15/28 200,000 5,835,702 0.997
USG98149AD29 WYNMAC 5 1/2 10/01/27 200,000 5,815,949 0.9937
USU83574AD26 BID 7 3/8 10/15/27 200,000 5,764,347 0.9848
USU9226VAB37 VST 5 5/8 02/15/27 196,000 5,726,146 0.9783
XS2616621244 KEDRIM 6 1/2 09/01/29 200,000 5,623,155 0.9607
USY75638AF67 SSW 5 1/2 08/01/29 200,000 5,563,137 0.9505
USU85440AF96 SPLS 10 3/4 09/01/29 200,000 5,560,800 0.9501
USG05891AL32 ASTONM 10 03/31/29 200,000 5,469,926 0.9345
US058498AY23 BALL 6 7/8 03/15/28 180,000 5,355,746 0.915
USU2541MAA81 DTV 5 7/8 08/15/27 184,000 5,346,586 0.9135
USU8841RAB97 TIBX 6 1/2 03/31/29 180,000 5,307,199 0.9067
USU15410AA86 CDK 8 06/15/29 200,000 4,867,409 0.8316
USU5561TAB99 MADISON IAQ LLC 5.875 06/30/2029 170,000 4,839,241 0.8268
USU4R90AAC29 HLF 12 1/4 04/15/29 150,000 4,786,587 0.8178
USU55288AB72 MCFE 7 3/8 02/15/30 170,000 4,595,342 0.7851
USU02413AJ82 AAL 8 1/2 05/15/29 150,000 4,592,595 0.7846
US25470XBB01 DISH 7 3/8 07/01/28 200,000 4,569,482 0.7807
USU1303AAF31 CRC 8 1/4 06/15/29 150,000 4,488,937 0.7669
USU02400AB28 AMCX 10 1/4 01/15/29 150,000 4,484,291 0.7661
USU0188CAJ37 ALIANT 6 3/4 04/15/28 150,000 4,437,831 0.7582
USU96089AG98 WCC 7 1/4 06/15/28 150,000 4,437,919 0.7582
USU7410WAD75 PRIHEA 9 3/8 09/01/29 150,000 4,339,520 0.7414
USG53431AA32 LILAPR 6 3/4 10/15/27 200,000 4,244,322 0.7251
USU91483AA22 UNIT 6 1/2 02/15/29 150,000 4,231,173 0.7229
USP2121VAL82 CCL 5 3/4 03/01/27 140,000 4,137,967 0.707
USU08914AA82 BRIEAS 11 01/31/30 200,000 4,033,704 0.6891
USU84591AF05 SPR 9 3/8 11/30/29 130,000 4,027,390 0.6881
USU53897AH41 LYV 6 1/2 05/15/27 131,000 3,872,108 0.6615
USU7089FAE26 PFSI 7 7/8 12/15/29 120,000 3,714,505 0.6346
US91740PAF53 USAC 6 7/8 09/01/27 125,000 3,652,244 0.624
US682691AH34 OMF 6 5/8 05/15/29 120,000 3,588,660 0.6131
USU02413AH27 AAL 7 1/4 02/15/28 120,000 3,576,107 0.611
USU12501AV13 CHTR 5 02/01/28 124,000 3,573,025 0.6104
USU12501BQ19 CHTR 6 3/8 09/01/29 120,000 3,561,310 0.6084
USU7415PAF28 PRIME SECSRVC BRW/FINANC REG S 6.25 01/15/2028 120,000 3,503,104 0.5985
USU17127AR95 CHS/COMMUNITY HEALTH SYS REG S 5.625 03/15/27 120,000 3,467,304 0.5924
USU88037AH63 TEN 8 11/17/28 120,000 3,457,661 0.5907
USU3151BAB90 FYBR 8 3/4 05/15/30 110,000 3,365,203 0.5749
USU3144QAK68 FYBR 5 7/8 10/15/27 115,000 3,363,525 0.5746
USU4260LAA53 HRI 5 1/2 07/15/27 114,000 3,323,218 0.5678
USU6700TAG86 HNDLIN 6 7/8 01/30/30 110,000 3,311,269 0.5657
USU71760AA77 PFGC 5 1/2 10/15/27 110,000 3,209,379 0.5483
USU6377RAA78 NCRATL 9 1/2 04/01/29 100,000 3,176,681 0.5427
USU01797AK20 BFH 9 3/4 03/15/29 100,000 3,129,258 0.5346
USC0787WAA39 BLCOCN 8 3/8 10/01/28 100,000 3,041,948 0.5197
USC4438AAA63 HUSKYI 9 02/15/29 100,000 3,024,387 0.5167
USU24506AC81 KEHEFO 9 02/15/29 100,000 3,013,079 0.5148
USU8302LAL28 TEP 7 3/8 02/15/29 100,000 2,991,631 0.5111
USU25783AJ77 RRD 9 1/2 08/01/29 100,000 2,990,521 0.5109
USC6900PAN99 BCULC 6 1/8 06/15/29 100,000 2,985,582 0.5101
USU6377NAF51 COOP 6 1/2 08/01/29 100,000 2,981,142 0.5093
USU3000TAB36 FRTITA 6 3/4 01/15/30 110,000 2,973,424 0.508
USU76664AA65 RITM 8 04/01/29 100,000 2,971,323 0.5076
USU66646AB35 NLOK 6 3/4 09/30/27 100,000 2,965,246 0.5066
USU6500TAH87 NEP 7 1/4 01/15/29 100,000 2,959,694 0.5056
USP2121VAN49 CARNIVAL CORP 6 05/01/2029 100,000 2,953,412 0.5046
USU00406AA35 AQUARI 7 7/8 11/01/29 100,000 2,951,396 0.5042
US88033GDK31 THC 6 1/8 10/01/28 100,000 2,922,643 0.4993
USU6536LAB63 NGL 8 1/8 02/15/29 100,000 2,918,932 0.4987
USU2038JAD91 COMSTOCK RESOURCES INC 6.75 03/01/2029 100,000 2,885,855 0.493
USU31333AH72 FREMOR 12 10/01/28 90,000 2,816,568 0.4812
USU6415RAE37 NWL 8 1/2 06/01/28 90,000 2,760,001 0.4715
USG2957NAC59 AVIAGP 9 12/01/28 100,000 2,755,914 0.4708
USU42804AY78 HTZ 12 5/8 07/15/29 90,000 2,753,295 0.4704
USG90073AL42 RIG 8 1/4 05/15/29 100,000 2,742,151 0.4685
USU9220NAA91 VENLNG 8 1/8 06/01/28 90,000 2,712,481 0.4634
US87901JAJ43 TGNA 4 5/8 03/15/28 95,000 2,696,759 0.4607
USU1638HAA50 CIVI 8 3/8 07/01/28 90,000 2,692,942 0.4601
USU8968GAH75 TGI 9 03/15/28 88,000 2,687,072 0.4591
USU85238AA89 SMYREA 6 11/01/28 90,000 2,624,014 0.4483
USU1852LAQ06 CLF 6 7/8 11/01/29 90,000 2,618,545 0.4474
USU26947AA69 EQMSRM 9 05/15/28 80,000 2,454,410 0.4193
USU6501HAA87 NXST 5 5/8 07/15/27 83,000 2,423,999 0.4141
USU50044AB94 KGS 7 1/4 02/15/29 80,000 2,403,497 0.4106
USU52783BB94 LVLT 11 11/15/29 71,540 2,392,545 0.4087
USL5137XAW94 INTEL 6 1/2 03/15/30 80,000 2,384,352 0.4073
USU98347AL87 WYNNLV 5 1/4 05/15/27 80,000 2,334,772 0.3989
USU83067AL95 SM 6 3/4 08/01/29 80,000 2,328,390 0.3978
USU13055AU95 CALPINE CORP REG S 5.125 03/15/28 80,000 2,325,772 0.3973
US398433AP71 GFF 5 3/4 03/01/28 80,000 2,322,990 0.3969
USU7318UAP76 POST 5 1/2 12/15/29 80,000 2,320,746 0.3965
USU8526DAB20 SS&C TECHNOLOGIES INC REG S 5.500 09/30/27 79,000 2,304,848 0.3938
USC7S90BAB49 PANTHER BF AGGREGATOR 2 REG S 8.500 05/15/27 78,000 2,291,217 0.3914
US629377CE03 NRG 5 3/4 01/15/28 78,000 2,282,943 0.39
USU91479AA02 UNIT 10 1/2 02/15/28 73,000 2,254,389 0.3851
USU64064AA34 NSCO 5 1/2 04/15/29 80,000 2,244,844 0.3835
US911365BG81 URI 4 7/8 01/15/28 75,000 2,170,418 0.3708
USU24570AC41 DKL 8 5/8 03/15/29 70,000 2,117,868 0.3618
USU00217AE63 AMWINS 6 3/8 02/15/29 70,000 2,082,135 0.3557
USG6436QAN63 NCLH 5 7/8 02/15/27 70,000 2,048,611 0.35
USU5763HAC98 BWY 9 1/4 04/15/27 70,000 2,024,373 0.3458
USU3144QAM25 FYBR 6 3/4 05/01/29 65,000 1,926,156 0.3291
USU20195AJ96 COMMSCOPE INC REG S 4.750 09/01/29 68,000 1,925,483 0.3289
US69318FAJ75 PBF HOLDING CO LLC 6.000 02/15/28 67,000 1,889,004 0.3227
USC25092AB04 POWSOL 6 3/4 05/15/28 60,000 1,799,028 0.3073
USU91505AT17 UVN 8 08/15/28 60,000 1,778,657 0.3038
USU17176AL91 CINEMARK USA INC 5.25 07/15/2028 60,000 1,741,594 0.2975
US55342UAH77 MPW 5 10/15/27 65,000 1,732,162 0.2959
USU98401AB58 XEROX HOLDINGS CORP 5.5 08/15/2028 80,000 1,608,035 0.2747
USU85343AC22 BMCAUS 5 02/15/27 55,000 1,596,879 0.2728
USU55655AA94 MIK 5 1/4 05/01/28 70,000 1,588,723 0.2714
US931427AW86 WBA 8 1/8 08/15/29 50,000 1,545,855 0.2641
USU63765AC28 NCLH 8 1/8 01/15/29 50,000 1,537,264 0.2626
USU4526LAC10 CRGYFN 9 1/4 02/15/28 50,000 1,518,987 0.2595
USU8675JAB80 SUN 7 05/01/29 50,000 1,512,544 0.2584
USG3962JAC56 GALCLD 8 3/4 09/01/27 50,000 1,501,660 0.2565
USU9033UAE20 USACUT 9 3/4 05/15/29 50,000 1,496,868 0.2557
USU66962BD95 NRG 5 3/4 07/15/29 50,000 1,458,720 0.2492
USU0389LAE12 ARMK 5 02/01/28 50,000 1,450,671 0.2478
US552953CH22 MGM 4 3/4 10/15/28 50,000 1,438,559 0.2457
US63938CAM01 NAVIENT CORP 5.500 03/15/29 50,000 1,431,970 0.2446
US69331CAH16 PG&E CORP 5.000 07/01/28 50,000 1,410,844 0.241
USU1230PAA94 CAESARS ENTERTAIN INC 4.625 10/15/2029 50,000 1,386,548 0.2369
USU5935JAA26 STGW 5 5/8 08/15/29 50,000 1,380,542 0.2358
USU0188CAB01 ALIANT 6 3/4 10/15/27 45,000 1,316,451 0.2249
USU0237LAN56 AMC 7 1/2 02/15/29 50,000 1,209,372 0.2066
USU2468WAA54 HARMID 7 1/2 09/01/28 40,000 1,182,311 0.202
USU8119QAA86 SEE 6 1/8 02/01/28 40,000 1,181,739 0.2019
US00774CAB37 ACM 5 1/8 03/15/27 40,000 1,167,397 0.1994
USU44255AD65 HHH 5 3/8 08/01/28 40,000 1,162,488 0.1986
US817565CE22 SCI 5 1/8 06/01/29 40,000 1,160,104 0.1982
USU27827AA96 EPC 5 1/2 06/01/28 40,000 1,158,316 0.1979
USU07409AC68 BGS 8 09/15/28 40,000 1,110,021 0.1896
USU34621AA74 FXIHLD 12 1/4 11/15/26 40,000 1,034,552 0.1767
USU49467AB60 KNTK 6 5/8 12/15/28 30,000 894,316 0.1528
US451102BZ91 ICAHN ENTERPRISES/FIN 5.250 05/15/27 31,000 881,272 0.1505
USU9100BAA09 UWMC 6 5/8 02/01/30 30,000 878,774 0.1501
USU9226VAA53 VISTRA OPERATIONS CO LLC REG S 5.500 09/01/2026 30,000 876,819 0.1498
USU86043AJ26 SABHLD 10 3/4 11/15/29 22,000 665,398 0.1136
USU0082FAC87 AETUNI 7 1/2 10/01/29 20,000 611,592 0.1044
USU1230PAB77 CZR 7 02/15/30 20,000 603,229 0.103
US85172FAQ28 OMF 6 5/8 01/15/28 20,000 598,759 0.1023
USU9220MAD57 VENTGL 6 1/4 01/15/30 20,000 597,742 0.1021
US058498AZ97 BALL 6 06/15/29 20,000 596,415 0.1019
USU4281PAF00 HESM 5 7/8 03/01/28 20,000 590,630 0.1009
USU2214KAB62 APLP 6 1/4 04/01/28 20,000 584,674 0.0998
USG9363BAD22 VIKING CRUISES LTD 5.875 09/15/2027 20,000 583,564 0.0997
USU3144QAL42 FYBR 5 05/01/28 20,000 584,049 0.0997
USU13055AT23 CPN 4 1/2 02/15/28 20,000 575,968 0.0984
US29261AAA88 EHC 4 1/2 02/01/28 20,000 573,296 0.0979
USU4329KAA61 HGVLLC 5 06/01/29 20,000 559,259 0.0955
USU16309AH65 CC 5 3/4 11/15/28 20,000 554,724 0.0947
USU4506JAA44 INTMAT 6 1/2 08/01/29 20,000 553,339 0.0945
USU8271NAA91 SIMMONS FOOD INC/SIMMONS 4.625 03/01/2029 20,000 549,623 0.0939
USX9814HAC70 VSTJET 6 3/8 02/01/30 20,000 542,470 0.0926
USU4866DAC75 YUM 4 3/4 06/01/27 10,000 291,282 0.0497
USU85343AD05 BMCAUS 4 3/4 01/15/28 10,000 287,484 0.0491
US86765LAT44 SUNOCO LP/FINANCE CORP 4.500 05/15/29 10,000 281,687 0.0481
USU04010AA92 ACOM 4 1/4 06/01/28 10,000 279,837 0.0478
債券合計 564,812,085
項目 金額
現金 (TWD) 5,863,209
現金 (USD) 2,857,630
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 176 384 -208
持債比重(含息)(%) 98.55 100.00 -1.45
平均到期殖利率(%) 7.56 7.70 -0.14
平均票息率(%) 7.49 6.65 0.84
平均有效存續期間(年) 2.01 2.11 -0.10
平均到期日(年) 2.33 3.49 -1.16
特別注意事項
  • 參考匯率:
    1 USD = 29.2200 TWD 更新時間:20250711

  • 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。
    • 國內 ETF
    • 海外 ETF
    • 槓 / 反 ETF
    • 固定收益型 ETF