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00846B / 富邦歐洲銀行債
彭博歐洲區美元7-15年期銀行債ETF基金

資料日期:2026/03/31

  • 基金淨資產(新台幣)

    2,703,239,412

  • 基金在外流通單位數(單位)

    74,350,000

  • 基金每單位淨值(新台幣)

    36.3583

債券
債券代碼 債券名稱 面額 金額 權重(%)
USH42097EQ69 UBS 6.301 09/22/34 2,200,000 75,058,727 2.7766
US404280DX45 HSBC 6.547 06/20/34 2,000,000 67,414,548 2.4938
US404280FG93 HSBC 5.133 11/06/36 2,000,000 62,798,590 2.323
US05581LAG41 BNP 5.894 12/05/34 1,800,000 60,368,186 2.2331
XS3145651009 STANLN 5.4 08/12/36 1,900,000 60,047,559 2.2213
US22536PAN15 ACAFP 5.862 01/09/36 1,800,000 59,480,028 2.2003
US53944YAX13 LLOYDS 5.679 01/05/35 1,800,000 59,340,857 2.1951
USF1886DAB85 BPCEGP 6.027 05/28/36 1,800,000 58,935,468 2.1801
US404280ES41 HSBC 5.45 03/03/36 1,800,000 57,949,139 2.1436
US06738ECV56 BACR 5.335 09/10/35 1,800,000 57,134,320 2.1135
US404280EC98 HSBC 7.399 11/13/34 1,600,000 56,745,102 2.0991
USF11494BZ77 BPCEGP 7.003 10/19/34 1,600,000 56,127,588 2.0763
USE2428RAC90 CABKSM 6.84 09/13/34 1,600,000 55,907,377 2.0681
US05964HAV78 SANTAN 6.921 08/08/33 1,600,000 55,383,799 2.0487
US404280EX36 HSBC 5.79 05/13/36 1,650,000 54,379,375 2.0116
USF11494CJ27 BPCEGP 6.293 01/14/36 1,600,000 53,712,455 1.9869
US09659X2W15 BNP 5.738 02/20/35 1,600,000 52,651,439 1.9477
USH42097EU71 UBS 5.699 02/08/35 1,600,000 52,617,560 1.9464
US404280EE54 HSBC 5.719 03/04/35 1,600,000 52,584,195 1.9452
US404280EL97 HSBC 5.874 11/18/35 1,600,000 51,986,699 1.9231
US06738ECZ60 BACR 5.785 02/25/36 1,600,000 51,977,460 1.9227
US404280AH22 HSBC HOLDINGS PLC 6.500 09/15/37 1,500,000 51,325,104 1.8986
US06738ECG89 BACR 6.224 05/09/34 1,400,000 47,120,566 1.7431
US539439BE84 LLOYDS 6.068 06/13/36 1,400,000 45,662,182 1.6891
US09660V2D44 BNP 5.906 11/19/35 1,400,000 45,544,056 1.6847
US05964HAZ82 SANTAN 6.938 11/07/33 1,200,000 43,170,181 1.5969
US06738ECH62 BACR 7.119 06/27/34 1,200,000 41,964,411 1.5523
US22536PAU57 ACAFP 5.261 01/12/37 1,300,000 40,830,762 1.5104
US456837BH52 INTNED 6.114 09/11/34 1,200,000 40,606,957 1.5021
US639057AN83 NWG 5.778 03/01/35 1,200,000 39,770,002 1.4711
USG84228GH56 STANLN 5.905 05/14/35 1,200,000 39,404,652 1.4576
US539439BA62 LLOYDS 5.59 11/26/35 1,200,000 39,140,553 1.4479
US456837BM48 INTNED 5.55 03/19/35 1,200,000 39,070,101 1.4453
USE2428RAM72 CABKSM 5.581 07/03/36 1,200,000 38,680,497 1.4308
US83368TCL08 SOCGEN 5.439 10/03/36 1,200,000 37,642,196 1.3924
USG84228FV59 STANLN 6.296 07/06/34 1,100,000 37,224,809 1.377
USH42097FL63 UBS 5.01 03/23/37 1,200,000 37,175,980 1.3752
US404280DM89 HSBC 6 1/2 09/15/37 1,000,000 33,697,970 1.2465
US05964HBD61 SANTAN 6.35 03/14/34 1,000,000 33,670,701 1.2455
USG84228GC69 STANLN 6.097 01/11/35 1,000,000 33,375,867 1.2346
US05946KAR23 BBVASM 6.033 03/13/35 1,000,000 33,365,601 1.2342
USE2428RAH87 CABKSM 6.037 06/15/35 1,000,000 33,358,222 1.234
USF2R125Q730 ACAFP 6.251 01/10/35 1,000,000 33,262,618 1.2304
US83368TBX54 SOCGEN 6.066 01/19/35 1,000,000 33,103,170 1.2245
USF11494CF05 BPCEGP 5.936 05/30/35 1,000,000 32,807,374 1.2136
USH42097FD48 UBS 5.58 05/09/36 1,000,000 32,513,823 1.2027
US456837BS18 INTNED 5.525 03/25/36 1,000,000 32,451,264 1.2004
US63861WAN56 NWIDE 5.537 07/14/36 1,000,000 32,143,597 1.189
US404280FB07 HSBC 5.741 09/10/36 1,000,000 32,106,704 1.1877
US06738EDK82 BACR 5.207 02/24/37 1,000,000 31,042,543 1.1483
US53944YBE23 LLOYDS 4.943 11/04/36 1,000,000 30,951,431 1.1449
USB5341FAC52 KBCBB 6.324 09/21/34 800,000 27,408,550 1.0139
USF11494CB90 BPCEGP 6.508 01/18/35 800,000 26,557,992 0.9824
USG0R4HJAF38 AIB 5.871 03/28/35 800,000 26,487,926 0.9798
US00084EAK47 ABNANV 5.515 12/03/35 800,000 25,993,349 0.9615
US251526CY36 DB 5.403 09/11/35 800,000 25,483,888 0.9427
US06738ECL74 BACR 6.692 09/13/34 700,000 24,247,704 0.8969
US22535EAG26 ACAFP 5.514 07/05/33 700,000 23,122,588 0.8553
US83368TCP12 SOCGEN 5.4 04/10/37 700,000 21,727,984 0.8037
US05946KAN19 BBVASM 7.883 11/15/34 600,000 21,717,140 0.8033
XS2979655904 STANLN 6.228 01/21/36 600,000 20,234,952 0.7485
US05964HBK05 SANTAN 6.033 01/17/35 600,000 20,140,053 0.745
US22535EAK38 ACAFP 5.365 03/11/34 600,000 19,587,986 0.7246
US05946KAU51 BBVASM 5.127 03/03/36 600,000 18,710,800 0.6921
US80281LAY11 SANUK 5.136 09/22/36 600,000 18,576,826 0.6872
債券合計 2,654,782,103
項目 金額
現金 (EUR) 346,285
現金 (TWD) 6,077,207
現金 (USD) 34,667,638
富邦多元收益ⅢETF傘型之富邦彭博歐洲區美元7-15年期銀行債ETF證券投資信託基金 彭博歐洲區美元7-15年期銀行債指數 差異
成分債券檔數 65 83 -18
持債比重(含息)(%) 99.39 100.00 -0.61
平均到期殖利率(%) 5.45 5.50 -0.05
平均票息率(%) 5.95 5.82 0.13
平均有效存續期間(年) 6.47 6.79 -0.32
平均到期日(年) 8.39 8.78 -0.39
特別注意事項
  • 參考匯率:
    1 USD = 0.8717 EUR 更新時間:20260331
    1 USD = 32.0820 TWD 更新時間:20260331

  • 富邦歐洲銀行債實際基金評價匯率:依信託契約第三十二條第二項所訂,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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