基金資產

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00983D 主動富邦複合收益(本基金有一定比重得投資於非投資等級之高風險債券,且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)

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  • 基金淨資產(新台幣)

    1,088,116,036

  • 基金在外流通單位數(單位)

    105,697,000

  • 基金每單位淨值(新台幣)

    10.2947

資料日期:2025/11/26

債券
債券代碼 債券名稱 面額 金額 權重(%)
US260543BY86 DOW 9.4 05/15/39 630,000 25,789,677 2.3701
US03523TBF49 ABIBB 8.2 01/15/39 610,000 24,935,590 2.2916
US172967EW71 C 8 1/8 07/15/39 610,000 24,821,841 2.2811
US24703TAK25 DELL 8.35 07/15/46 520,000 21,078,607 1.9371
US06738ECE32 BACR 7.437 11/02/33 570,000 20,585,350 1.8918
US8935268Z94 TRPCN 7 5/8 01/15/39 510,000 19,294,041 1.7731
US406216AY74 HAL 7.45 09/15/39 510,000 19,221,956 1.7665
US68389XCK90 ORCL 6.9 11/09/52 580,000 18,933,372 1.74
USU42511AJ14 GTN 10 1/2 07/15/29 560,000 18,909,503 1.7378
USJ64264AG96 RAKUTN 11 1/4 02/15/27 560,000 18,829,123 1.7304
USC07885AL76 BHCCN 11 09/30/28 570,000 18,799,863 1.7277
US88732JAN81 TIME WARNER CABLE INC 7.300 07/01/38 560,000 18,729,787 1.7213
US24703TAJ51 DELL 8.1 07/15/36 470,000 18,028,539 1.6568
US717081CY74 PFE 7.2 03/15/39 470,000 17,875,643 1.6428
US254687EZ57 DIS 7 3/4 12/01/45 410,000 16,672,996 1.5322
US87938WAC73 TELEFONICA EMISIONES SAU 7.045 06/20/36 460,000 16,290,964 1.4971
US743263AE50 DUK 7 3/4 03/01/31 450,000 16,270,208 1.4952
US548661CP07 LOW 6.65 09/15/37 450,000 16,217,463 1.4904
USU02400AB28 AMCX 10 1/4 01/15/29 490,000 16,104,006 1.4799
USU2541MAC48 DTV 8 7/8 02/01/30 500,000 15,516,120 1.4259
USU44927BD96 IEP 10 11/15/29 490,000 15,437,068 1.4186
US617446HD43 MS 7 1/4 04/01/32 420,000 15,303,071 1.4063
USU4R90AAC29 HLF 12 1/4 04/15/29 450,000 15,291,883 1.4053
US10549PAG63 BNCN 7 3/8 03/01/33 420,000 15,273,060 1.4036
USU86043AJ26 SABHLD 10 3/4 11/15/29 540,000 14,948,277 1.3737
US852060AT99 S 8 3/4 03/15/32 380,000 14,521,960 1.3345
US50076QAR74 KRAFT FOODS GROUP INC 6.875 01/26/39 400,000 14,122,933 1.2979
US054989AD07 BATSLN 7.081 08/02/53 390,000 14,048,656 1.291
USU9220NAC57 VENLNG 9 1/2 02/01/29 420,000 13,910,711 1.2784
US694308KK29 PCG 6.7 04/01/53 410,000 13,859,620 1.2737
USQ60976AD18 MINAU 9 1/4 10/01/28 400,000 13,153,273 1.2088
US04686JAL52 ATH 6 5/8 05/19/55 400,000 12,979,399 1.1928
USU42804AY78 HTZ 12 5/8 07/15/29 410,000 12,868,289 1.1826
US36962G4B75 GE 6 7/8 01/10/39 340,000 12,752,622 1.1719
US86722TAB89 SUCN 6.85 06/01/39 360,000 12,700,259 1.1671
US37045VAL45 GM 6 3/4 04/01/46 370,000 12,592,807 1.1573
USU2069EAB66 CRWV 9 02/01/31 440,000 12,442,494 1.1434
US694308KH99 PCG 6 3/4 01/15/53 360,000 12,276,944 1.1282
US641423BU11 BRKHEC 6 3/4 07/01/37 340,000 12,239,661 1.1248
US13645RAD61 CP 7 1/8 10/15/31 340,000 12,194,162 1.1206
US29250NBZ78 ENBCN 6.7 11/15/53 340,000 11,949,297 1.0981
US92344GAM87 VZ 7 3/4 12/01/30 330,000 11,924,660 1.0958
US404280DW61 HSBC 6.332 03/09/44 330,000 11,465,156 1.0536
US054989AC24 BATSLN 7.079 08/02/43 320,000 11,408,863 1.0484
US03040WAD74 AWK 6.593 10/15/37 310,000 11,143,855 1.0241
US494550AW68 KMI 6.95 01/15/38 310,000 11,103,633 1.0204
US20030NAV38 CMCSA 6.95 08/15/37 300,000 10,912,149 1.0028
US879385AD49 TELEFO 8 1/4 09/15/30 290,000 10,476,338 0.9627
US42824CAY57 HPE 6.35 10/15/45 320,000 10,414,207 0.957
US06849RAC60 ABXCN 7 1/2 09/15/38 260,000 9,865,594 0.9066
US91324PBK75 UNITEDHEALTH GROUP INC 6.875 02/15/38 250,000 9,156,373 0.8414
US210385AE04 CEG 6 1/2 10/01/53 240,000 8,337,919 0.7662
US58013MEF77 MCD 6.3 03/01/38 220,000 7,738,999 0.7112
US91913YAL48 VLO 6 5/8 06/15/37 220,000 7,712,868 0.7088
US00817YAF51 AET 6 5/8 06/15/36 220,000 7,636,611 0.7018
US260543DH36 DOW 6.9 05/15/53 230,000 7,604,219 0.6988
US303901BR22 FFHCN 6.35 03/22/54 230,000 7,572,430 0.6959
US674599DL68 OXY 6.6 03/15/46 230,000 7,538,696 0.6928
US682680BN20 OKE 6 5/8 09/01/53 220,000 7,337,791 0.6743
US209111EU37 ED 6 3/4 04/01/38 180,000 6,550,618 0.602
US36962GXZ26 GE 6 3/4 03/15/32 170,000 6,088,450 0.5595
US67077MAP32 NTRCN 7 1/8 05/23/36 160,000 5,754,777 0.5288
US013716AQ81 RIOLN 7 1/4 03/15/31 150,000 5,399,710 0.4962
US88732JAU25 TIME WARNER CABLE INC 6.750 06/15/39 160,000 5,102,452 0.4689
US68389XAE58 ORCL 6 1/2 04/15/38 130,000 4,277,502 0.3931
US37045VAK61 GM 6.6 04/01/36 120,000 4,119,392 0.3785
US00206RAS13 T 6.55 02/15/39 60,000 2,110,749 0.1939
US871829BN62 SYY 6.6 04/01/50 60,000 2,097,549 0.1927
US03769MAA45 APO 6 3/8 11/15/33 60,000 2,081,735 0.1913
US832696AZ12 SJM 6 1/2 11/15/53 60,000 2,078,819 0.191
US832696AY47 SJM 6 1/2 11/15/43 60,000 2,052,720 0.1886
US38141GGM06 GS 6 1/4 02/01/41 50,000 1,735,594 0.1595
US56585AAF93 MPC 6 1/2 03/01/41 50,000 1,687,330 0.155
US29273RAR03 ET 6 1/2 02/01/42 50,000 1,670,798 0.1535
US87612GAD34 TRGP 6 1/2 02/15/53 50,000 1,663,794 0.1529
債券合計 891,593,445
基金
基金代碼 基金名稱 單位數 金額 權重(%)
TLTW US ISHARES 20+ YEAR TREASURY BOND 107,000 79,072,701 7.2669
LQDW US ISHARES INVESTMENT GRADE CORPO 100,000 78,211,790 7.1878
基金合計 157,284,491 14.4547
項目 金額
現金 (TWD) 84,973,713
現金 (USD) 30,617,651
應付受益權單位買回款 (TWD) 91,678,319
特別注意事項
  • 參考匯率:
    1 USD = 31.3400 TWD 更新時間:20251126

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