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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:2025/08/21

  • 基金淨資產(新台幣)

    2,584,059,268

  • 基金在外流通單位數(單位)

    74,350,000

  • 基金每單位淨值(新台幣)

    34.7553

債券
債券代碼 債券名稱 面額 金額 權重(%)
US404280DV88 HSBC 6.254 03/09/34 3,000,000 98,502,033 3.8119
USH3698DDW14 UBS 9.016 11/15/33 2,500,000 94,601,222 3.6609
US404280DS59 HSBC 8.113 11/03/33 2,400,000 84,842,726 3.2833
USH42097DT18 UBS 5.959 01/12/34 2,600,000 83,625,973 3.2362
US06738ECE32 BACR 7.437 11/02/33 2,300,000 79,963,447 3.0944
US404280AG49 HSBC 6 1/2 05/02/36 2,000,000 65,927,425 2.5513
US05581LAG41 BNP 5.894 12/05/34 1,800,000 57,961,922 2.243
US53944YAX13 LLOYDS 5.679 01/05/35 1,800,000 56,612,782 2.1908
US404280EC98 HSBC 7.399 11/13/34 1,600,000 54,829,371 2.1218
USF11494BZ77 BPCEGP 7.003 10/19/34 1,600,000 53,890,881 2.0855
US05964HAV78 SANTAN 6.921 08/08/33 1,600,000 53,560,799 2.0727
US404280DH94 HSBC 5.402 08/11/33 1,600,000 50,170,127 1.9415
USH3698DDS02 UBS 6.537 08/12/33 1,500,000 49,910,663 1.9314
US404280AH22 HSBC HOLDINGS PLC 6.500 09/15/37 1,500,000 49,117,805 1.9008
US06738ECA10 BACR 5.746 08/09/33 1,500,000 47,673,998 1.8449
US83368TBS69 SOCGEN 6.691 01/10/34 1,400,000 46,012,050 1.7806
US06738ECG89 BACR 6.224 05/09/34 1,400,000 45,451,068 1.7589
US09660V2D44 BNP 5.906 11/19/35 1,400,000 43,573,722 1.6862
US539439AW91 LLOYDS 7.953 11/15/33 1,200,000 42,049,653 1.6272
US05964HAZ82 SANTAN 6.938 11/07/33 1,200,000 41,418,663 1.6028
US06738ECH62 BACR 7.119 06/27/34 1,200,000 40,430,247 1.5646
USH42097EQ69 UBS 6.301 09/22/34 1,200,000 39,423,153 1.5256
US456837BH52 INTNED 6.114 09/11/34 1,200,000 38,965,382 1.5079
US639057AH16 NWG 6.016 03/02/34 1,200,000 38,793,260 1.5012
US639057AN83 NWG 5.778 03/01/35 1,200,000 38,075,844 1.4734
USG84228GH56 STANLN 5.905 05/14/35 1,200,000 38,048,744 1.4724
US456837BM48 INTNED 5.55 03/19/35 1,200,000 37,535,675 1.4525
US539439BA62 LLOYDS 5.59 11/26/35 1,200,000 37,410,796 1.4477
USE2428RAC90 CABKSM 6.84 09/13/34 1,000,000 33,630,225 1.3014
US404280AJ87 HSBC 6.8 06/01/38 1,000,000 33,613,440 1.3007
USH42097DL81 UBS 4.988 08/05/33 1,100,000 33,566,107 1.2989
US53944YAU73 LLOYDS 4.976 08/11/33 1,100,000 33,548,652 1.2982
US404280DX45 HSBC 6.547 06/20/34 1,000,000 32,527,000 1.2587
USF11494CJ27 BPCEGP 6.293 01/14/36 1,000,000 32,302,083 1.25
US404280DM89 HSBC 6 1/2 09/15/37 1,000,000 32,252,643 1.2481
USG84228GC69 STANLN 6.097 01/11/35 1,000,000 32,233,722 1.2474
US05964HBD61 SANTAN 6.35 03/14/34 1,000,000 32,224,566 1.247
USE2428RAH87 CABKSM 6.037 06/15/35 1,000,000 32,002,091 1.2384
US05946KAR23 BBVASM 6.033 03/13/35 1,000,000 31,920,302 1.2352
USF2R125Q730 ACAFP 6.251 01/10/35 1,000,000 31,859,266 1.2329
US22536PAN15 ACAFP 5.862 01/09/36 1,000,000 31,754,590 1.2288
US83368TBX54 SOCGEN 6.066 01/19/35 1,000,000 31,616,648 1.2235
US404280EX36 HSBC 5.79 05/13/36 1,000,000 31,559,885 1.2213
USF11494CF05 BPCEGP 5.936 05/30/35 1,000,000 31,514,413 1.2195
US06738ECZ60 BACR 5.785 02/25/36 1,000,000 31,351,141 1.2132
USH42097FD48 UBS 5.58 05/09/36 1,000,000 31,245,855 1.2091
US456837BS18 INTNED 5.525 03/25/36 1,000,000 31,196,110 1.2072
US06738ECV56 BACR 5.335 09/10/35 1,000,000 30,525,019 1.1812
USB5341FAC52 KBCBB 6.324 09/21/34 800,000 26,311,155 1.0182
USF11494CB90 BPCEGP 6.508 01/18/35 800,000 25,631,946 0.9919
USG0R4HJAF38 AIB 5.871 03/28/35 800,000 25,250,349 0.9771
US00084EAK47 ABNANV 5.515 12/03/35 800,000 24,864,846 0.9622
US251526CY36 DB 5.403 09/11/35 800,000 24,460,300 0.9465
US06738ECL74 BACR 6.692 09/13/34 700,000 23,373,035 0.9045
US22535EAG26 ACAFP 5.514 07/05/33 700,000 22,323,276 0.8638
US05946KAN19 BBVASM 7.883 11/15/34 600,000 21,059,617 0.8149
XS2979655904 STANLN 6.228 01/21/36 600,000 19,411,279 0.7511
US05964HBK05 SANTAN 6.033 01/17/35 600,000 19,333,276 0.7481
US404280EE54 HSBC 5.719 03/04/35 600,000 19,127,644 0.7402
USH42097EU71 UBS 5.699 02/08/35 600,000 19,037,922 0.7367
US09659X2W15 BNP 5.738 02/20/35 600,000 19,030,597 0.7364
US22535EAK38 ACAFP 5.365 03/11/34 600,000 18,917,803 0.732
US539439BE84 LLOYDS 6.068 06/13/36 600,000 18,835,954 0.7289
USE2428RAM72 CABKSM 5.581 07/03/36 600,000 18,500,317 0.7159
USG84228FV59 STANLN 6.296 07/06/34 500,000 16,308,362 0.6311
USF1886DAB85 BPCEGP 6.027 05/28/36 500,000 15,877,600 0.6144
債券合計 2,528,478,467
項目 金額
現金 (EUR) 302,934
現金 (TWD) 42,257,429
現金 (USD) 8,010,421
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 66 75 -9
持債比重(含息)(%) 99.33 100.00 -0.67
平均到期殖利率(%) 5.24 5.32 -0.08
平均票息率(%) 6.35 6.27 0.08
平均有效存續期間(年) 6.36 6.66 -0.30
平均到期日(年) 8.34 8.69 -0.35
特別注意事項
  • 參考匯率:
    1 USD = 0.8598 EUR 更新時間:20250821
    1 USD = 30.5180 TWD 更新時間:20250821

  • 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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