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00785B 富邦金融投等債

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  • 基金淨資產(新台幣)

    35,997,445,553

  • 基金在外流通單位數(單位)

    1,016,966,000

  • 基金每單位淨值(新台幣)

    35.3969

資料日期:2025/10/22

債券
債券代碼 債券名稱 面額 金額 權重(%)
US38141GFD16 GS 6 3/4 10/01/37 45,637,000 1,588,802,897 4.4136
US6174468N29 MS 5.597 03/24/51 45,013,000 1,431,018,163 3.9753
US95000U2M49 WFC 5.013 04/04/51 43,590,000 1,271,742,150 3.5328
US59022CAJ27 MERRILL LYNCH & CO 6.110 01/29/37 35,032,000 1,173,028,920 3.2586
US404280DW61 HSBC 6.332 03/09/44 33,730,000 1,159,792,847 3.2218
US38141GGM06 GS 6 1/4 02/01/41 33,009,000 1,129,442,635 3.1375
US48126BAA17 JPM 5.4 01/06/42 31,913,000 1,016,759,805 2.8245
US46625HHF01 JPM 6.4 05/15/38 27,486,000 971,119,704 2.6977
US617482V925 MS 6 3/8 07/24/42 27,616,000 966,996,977 2.6862
US172967EW71 C 8 1/8 07/15/39 23,747,000 946,284,239 2.6287
US404280AM17 HSBC 6.1 01/14/42 25,686,000 872,499,382 2.4237
US06051GFC87 BAC 5 01/21/44 28,105,000 856,707,464 2.3799
US59023VAA89 BAC 7 3/4 05/14/38 22,496,000 854,414,957 2.3735
US949746RF01 WFC 5.606 01/15/44 26,862,000 837,655,679 2.3269
US94974BFP04 WFC 5 3/8 11/02/43 26,016,000 792,358,182 2.2011
US38143YAC75 GS 6.45 05/01/36 22,103,000 751,919,961 2.0888
US92976GAJ04 WFC 6.6 01/15/38 21,130,000 739,936,295 2.0555
US06051GJA85 BAC 4.083 03/20/51 26,860,000 685,473,959 1.9042
US06051GEN51 BAC 5 7/8 02/07/42 20,267,000 677,745,902 1.8827
US172967DR95 C 6 1/8 08/25/36 20,314,000 670,790,100 1.8634
US902613AY48 UBS 4 7/8 05/15/45 22,800,000 667,595,327 1.8545
US06738EAJ47 BACR 5 1/4 08/17/45 21,824,000 657,212,930 1.8257
US46625HHV50 JPM 5 1/2 10/15/40 19,112,000 619,598,831 1.7212
US38141EC311 GS 4.8 07/08/44 20,892,000 608,646,385 1.6908
US46625HJB78 JPM 5.6 07/15/41 17,775,000 578,646,691 1.6074
US38148LAF31 GS 5.15 05/22/45 18,066,000 530,086,276 1.4725
US46625HLL23 JPM 4.95 06/01/45 17,560,000 518,245,175 1.4396
US172967MD09 C 4.65 07/23/48 17,719,000 493,664,179 1.3713
US46647PAL04 JPM 3.964 11/15/48 18,619,000 476,689,287 1.3242
US06050TJZ66 BAC 6 10/15/36 13,697,000 463,742,953 1.2882
US92976GAG64 WFC 5.85 02/01/37 13,877,000 457,167,310 1.2699
US46647PCE43 JPM 3.328 04/22/52 19,890,000 446,327,148 1.2398
US172967FX46 C 5 7/8 01/30/42 13,312,000 440,316,994 1.2231
US21685WCJ45 RABOBK 5 1/4 05/24/41 13,380,000 420,868,200 1.1691
US61744YAR99 MS 4.457 04/22/39 13,252,000 387,935,549 1.0776
US46625HJU59 JPM 4.85 02/01/44 12,842,000 382,105,604 1.0614
US94980VAG32 WFC 5.95 08/26/36 11,217,000 371,438,411 1.0318
US38141GXA74 GS 4.411 04/23/39 12,003,000 345,142,537 0.9587
US46647PAN69 JPM 3.897 01/23/49 13,328,000 336,623,790 0.9351
US06051GHS12 BAC 4.33 03/15/50 11,694,000 311,460,924 0.8652
US06738EBW49 BACR 3.33 11/24/42 12,220,000 294,372,667 0.8177
US06051GHU67 BAC 4.078 04/23/40 9,711,000 270,764,396 0.7521
US606822BB97 MUFG 4.286 07/26/38 9,017,000 268,034,668 0.7445
US38141GVS01 GS 4 3/4 10/21/45 9,046,000 258,230,130 0.7173
US06738EAV74 BACR 4.95 01/10/47 8,887,000 255,504,690 0.7097
US539439AN92 LLOYDS 5.3 12/01/45 7,546,000 223,826,141 0.6217
US316773CH12 FITB 8 1/4 03/01/38 5,494,000 209,734,975 0.5826
US172967HS33 C 5.3 05/06/44 6,697,000 203,095,049 0.5641
US606822BK96 MUFG 3.751 07/18/39 7,364,000 201,889,507 0.5608
US4042Q1AD94 HSBC 7 01/15/39 5,141,000 188,348,638 0.5232
US46625HJM34 JPM 5 5/8 08/16/43 5,497,000 176,805,434 0.4911
US53944YAE32 LLOYDS 4.344 01/09/48 6,711,000 172,192,407 0.4783
US46647PAK21 JPM 4.032 07/24/48 6,496,000 168,035,357 0.4667
US21684AAB26 RABOBK 5 3/4 12/01/43 5,106,000 163,187,417 0.4533
US06051GGM50 BAC 4.244 04/24/38 5,609,000 162,845,003 0.4523
US94974BGQ77 WFC 4.9 11/17/45 5,479,000 155,550,014 0.4321
US95000U2Z51 WFC 4.611 04/25/53 5,600,000 153,800,051 0.4272
US61746BEG77 MS 4 3/8 01/22/47 5,491,000 150,242,838 0.4173
US961214EY50 WSTP 3.133 11/18/41 6,150,000 145,950,001 0.4054
US06051GFG91 BAC 4 7/8 04/01/44 4,808,000 143,861,314 0.3996
US21684AAD81 RABOBK 5 1/4 08/04/45 4,696,000 140,338,402 0.3898
US404280AQ21 HSBC 5 1/4 03/14/44 4,272,000 130,174,805 0.3616
US94974BGE48 WFC 4.65 11/04/44 4,574,000 126,317,473 0.3509
US61747YDY86 MS 4.3 01/27/45 4,561,000 125,132,894 0.3476
US06051GJE08 BAC 2.676 06/19/41 5,250,000 121,243,706 0.3368
US38148YAA64 GS 4.017 10/31/38 4,291,000 119,357,844 0.3315
US61744YAL20 MS 3.971 07/22/38 4,260,000 118,888,294 0.3302
US172967HA25 C 6.675 09/13/43 3,209,000 112,864,773 0.3135
US06051GGG82 BAC 4.443 01/20/48 4,013,000 110,126,655 0.3059
US46647PAA49 JPM 4.26 02/22/48 3,727,000 100,185,563 0.2783
US172967JU60 C 4.65 07/30/45 3,397,000 95,652,364 0.2657
US172967LJ87 C 4.281 04/24/48 3,603,000 95,482,663 0.2652
US172967MM08 C 5.316 03/26/41 3,022,000 93,815,418 0.2606
US172967KR13 C 4 3/4 05/18/46 3,377,000 93,681,968 0.2602
US75913MAA71 RF 6.45 06/26/37 2,606,000 88,304,108 0.2453
US38141GZN77 GS 3.436 02/24/43 3,210,000 78,776,144 0.2188
US94974BGU89 WFC 4 3/4 12/07/46 2,772,000 76,760,552 0.2132
US606822BE37 WFT 9 7/8 02/15/24 2,369,000 69,382,241 0.1927
US06738ECS28 BACR 6.036 03/12/55 2,000,000 66,144,790 0.1837
US94974BGT17 WFC 4.4 06/14/46 2,261,000 59,714,206 0.1658
US06051GFQ73 BAC 4 3/4 04/21/45 1,953,000 55,768,994 0.1549
US6174468Y83 MS 2.802 01/25/52 2,000,000 40,339,354 0.112
US06051GJN07 BAC 3.483 03/13/52 1,650,000 37,962,680 0.1054
US86562MCF59 SUMIBK 2.296 01/12/41 1,660,000 36,575,120 0.1016
US06051GJM24 BAC 2.831 10/24/51 1,450,000 29,413,132 0.0817
US61772BAC72 MS 3.217 04/22/42 1,200,000 29,339,869 0.0815
US38141GYC22 GS 3.21 04/22/42 1,100,000 26,517,964 0.0736
US06051GKB40 BAC 2.972 07/21/52 1,250,000 26,068,339 0.0724
US46647PAJ57 JPM 3.882 07/24/38 862,000 24,113,693 0.0669
US06051GJW06 BAC 3.311 04/22/42 950,000 23,461,828 0.0651
US06051GHA04 BAC 3.946 01/23/49 638,000 16,142,911 0.0448
US95000U2Q52 WFC 3.068 04/30/41 580,000 14,052,069 0.039
US86562MCK45 SUMIBK 2.93 09/17/41 500,000 11,598,647 0.0322
US46647PCD69 JPM 3.157 04/22/42 450,000 10,934,551 0.0303
US46647PBV76 JPM 2.525 11/19/41 410,000 9,249,321 0.0256
US172967NF48 C 2.904 11/03/42 250,000 5,737,554 0.0159
US38141GYK48 GS 2.908 07/21/42 250,000 5,756,915 0.0159
US172967LU33 C 3.878 01/24/39 206,000 5,650,364 0.0156
US46647PBN50 JPM 3.109 04/22/51 195,000 4,212,819 0.0117
US94974BGK08 WFC 3.9 05/01/45 126,000 3,221,244 0.0089
US46647PBM77 JPM 3.109 04/22/41 41,000 1,003,365 0.0027
債券合計 35,313,741,012
項目 金額
附買回債券 50,000,000
現金 (EUR) 21,256
現金 (TWD) 510,313,753
現金 (USD) 95,739,246
附買回債券
代號 名稱 金額
HB1302 113高市債2 50,000,000
富邦多元收益ⅡETF傘型之富邦全球金融業10年以上美元投等債券ETF證券投資信託基金 富時全球銀行產業10年以上美元投等債指數 差異
成分債券檔數 101 125 -24
持債比重(含息)(%) 99.37 100.00 -0.63
平均到期殖利率(%) 5.17 5.27 -0.10
平均票息率(%) 5.50 4.79 0.71
平均有效存續期間(年) 10.70 11.67 -0.97
平均到期日(年) 16.82 18.36 -1.54
特別注意事項
  • 參考匯率:
    1 USD = 0.8613 EUR 更新時間:20251022
    1 USD = 30.7310 TWD 更新時間:20251022

  • 富邦金融投等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。
    • 國內 ETF
    • 海外 ETF
    • 槓 / 反 ETF
    • 固定收益型 ETF
    • 主動式 ETF