申購買回清單

選擇其他 ETF

00717 富邦美國特別股
  • 現金申購買回清單
  • 2026/07/20
  • 預收申購總價金

    NT$8,200,000

  • 基金淨資產價值

    NT$1,853,620,084

  • 已發行受益權單位總數

    124,605,000

  • 與前日已發行單位差異數

    0

  • 每受益權單位淨資產價值

    NT$14.88

  • 每現金申購/買回基數之受益權單位數

    500,000

  • 每現金申購/買回基數約當市值

    NT$7,437,984

  • 2026/07/16 每現金申購基數總價金差異額

    NT$-848,090

  • 2026/07/16 每申購基數實際申購總價金

    NT$7,451,910

  • 2026/07/17 預估發行受益權單位數

    124,605,000

初級市場可否申購

可否申購

可否贖回

上一個月之受益人人數 (2026/06)

8,054

股票代碼 股票名稱 股數 註記
ABR D ARBOR REALTY TRUST INC 6.375 PERP D 13
ABR F ARBOR REALTY TRUST INC 6.25 PERP F 16
ACGLN ARCH CAPITAL GROUP LTD 4.55 PERP G 29
ACGLO ARCH CAPITAL GROUP LTD 5.45 PERP F 19
ADAMM ADAMAS TRUST INC 11.2827202441406 PERP E 11
ADC A AGREE REALTY CORP 4.25 PERP A 10
AGNCL AGNC INVESTMENT CORP 7.75 PERP G 9
AGNCM AGNC INVESTMENT CORP 6.875 PERP D 14
AGNCN AGNC INVESTMENT CORP 10.76648 PERP C 19
AGNCO AGNC INVESTMENT CORP 6.5 PERP E 23
AGNCP AGNC INVESTMENT CORP 6.125 PERP F 33
AGNCZ AGNC INVESTMENT CORP 8.75 PERP H 20
AHL D ASPEN INSURANCE HLDG LTD 5.625 PERP * 14
AHL E ASPEN INSURANCE HLDG LTD 5.625 PERP ** 14
AHL F ASPEN INSURANCE HLDG LTD 7 PERP 13
ALB A ALBEMARLE CORP 7.25 2027/3/1 66
ALL B ALLSTATE CORP 8.82048 2053/1/15 29
ALL H ALLSTATE CORP 5.1 PERP H 66
ALL I ALLSTATE CORP 4.75 PERP I 17
ALL J ALLSTATE CORP 7.375 PERP J 35
ANG D AMERICAN NATIONAL GROUP 7.375 PERP . 17
APO A APOLLO GLOBAL MANAGEMENT 6.75 2026/7/31 42
ARES B ARES MANAGEMENT CORP 6.75 2027/10/1 B 43
ARR C ARMOUR RESIDENTIAL REIT 7 PERP C 11
ATH A ATHENE HOLDING LTD 6.35 PERP A 50
ATH B ATHENE HOLDING LTD 5.625 PERP B 20
ATH D ATHENE HOLDING LTD 4.875 PERP D 33
ATH E ATHENE HOLDING LTD 7.75 PERP E 29
AUB A ATLANTIC UNION BANKSHARE 6.875 PERP A 10
AXS E AXIS CAPITAL HLDGS LTD 5.5 PERP E 32
BA A BOEING CO/THE 6 2027/10/15 166
BAC B BANK OF AMERICA CORP 6 PERP GG 78
BAC E BANK OF AMERICA CORP 5.99133 PERP E 18
BAC K BANK OF AMERICA CORP 5.875 PERP HH 49
BAC M BANK OF AMERICA CORP 5.375 PERP KK 80
BAC N BANK OF AMERICA CORP 5 PERP LL 75
BAC O BANK OF AMERICA CORP 4.375 PERP NN 62
BAC P BANK OF AMERICA CORP 4.125 PERP PP 53
BAC Q BANK OF AMERICA CORP 4.25 PERP QQ 75
BAC S BANK OF AMERICA CORP 4.75 PERP SS 40
BANC F BANC OF CALIFORNIA INC 7.75 PERP F 30
BFH B BREAD FINANCIAL HLDGS 8.875 PERP B 8
BHFAM BRIGHTHOUSE FINANCIAL IN 4.625 PERP D 20
BHFAN BRIGHTHOUSE FINANCIAL IN 5.375 PERP C 33
BHFAO BRIGHTHOUSE FINANCIAL IN 6.75 PERP B 23
BHFAP BRIGHTHOUSE FINANCIAL IN 6.6 PERP A 25
BML H BANK OF AMERICA CORP 6.29819 PERP 02 17
BML J BANK OF AMERICA CORP 6.39819 PERP 4 12
BML L BANK OF AMERICA CORP 6.12854 PERP 5 23
BMNP BITMINE IMMERSION TECH 9.5 PERP A 5
BNY K BANK OF NY MELLON CORP 6.15 PERP K 29
BOH B BANK OF HAWAII CORP 8 PERP 10
BUSEP FIRST BUSEY CORPORATION 8.25 PERP B 12
BW A BABCOCK & WILCOX ENTERPR 7.75 PERP A 11
C N CITIGROUP CAPITAL XIII 12.02159 2040/10/30 130
C R CITIGROUP INC 6.25 PERP II 46
CFG E CITIZENS FINANCIAL GROUP 5 PERP E 26
CFG H CITIZENS FINANCIAL GROUP 7.375 PERP 23
CFG I CITIZENS FINANCIAL GROUP 6.5 PERP I 23
CFR B CULLEN/FROST BANKERS INC 4.45 PERP B 9
CHSCL CHS INC 7.5 PERP 4 30
CHSCM CHS INC 6.75 PERP 3 28
CHSCN CHS INC 7.1 PERP 2 24
CHSCO CHS INC 7.875 PERP 1 31
CHSCP CHS INC 8 PERP 18
CIM A CHIMERA INVESTMENT CORP 8 PERP A 8
CIM B CHIMERA INVESTMENT CORP 8 PERP B 19
CIM C CHIMERA INVESTMENT CORP 7.75 PERP C 15
CIM D CHIMERA INVESTMENT CORP 8 PERP D 12
CMS C CMS ENERGY CORP 4.2 PERP C 13
CODI B COMPASS DIVERSIF HOLDING 7.875 PERP B 11
CODI C COMPASS DIVERSIF HOLDING 7.875 PERP C 11
COF I CAPITAL ONE FINANCIAL CO 5 PERP I 87
COF J CAPITAL ONE FINANCIAL CO 4.8 PERP J 72
COF L CAPITAL ONE FINANCIAL CO 4.375 PERP L 39
COF N CAPITAL ONE FINANCIAL CO 4.25 PERP N 25
DBRG H DIGITALBRIDGE GROUP INC 7.125 PERP H 12
DBRG I DIGITALBRIDGE GROUP INC 7.15 PERP I 19
DBRG J DIGITALBRIDGE GROUP INC 7.125 PERP J 17
DHCNI DIVERSIFIED HEALTHCARE T 5.625 2042/8/1 20
DLR J DIGITAL REALTY TRUST INC 5.25 PERP J 12
DLR K DIGITAL REALTY TRUST INC 5.85 PERP K 12
DLR L DIGITAL REALTY TRUST INC 5.2 PERP L 20
DUK A DUKE ENERGY CORP 5.75 PERP A 58
EQH A EQUITABLE HOLDINGS INC 5.25 PERP A 46
EQH C EQUITABLE HOLDINGS INC 4.3 PERP C 17
FBRT E FRANKLIN BSP REALTY TRST 7.5 PERP E 15
FCNCN FIRST CITIZENS BANCSHARE 6.625 PERP E 23
FCNCO FIRST CITIZENS BANCSHARE 5.625 PERP C 12
FCNCP FIRST CITIZENS BANCSHARE 5.375 PERP A 20
FHN H FIRST HORIZON CORP 6.75 PERP H 23
FITB A FIFTH THIRD BANCORP 6 PERP A 12
FITB I FIFTH THIRD BANCORP 7.67122 PERP I 26
FITB K FIFTH THIRD BANCORP 4.95 PERP K 14
FITB M FIFTH THIRD BANCORP 6.875 PERP 23
FLG A FLAGSTAR FINANCIAL INC 6.375 PERP A. 30
FOUR A SHIFT4 PAYMENTS INC 6 2028/5/1 15
GOOGM ALPHABET INC 6.25 2029/5/15 A 278
GOOGN ALPHABET INC 6.25 2029/5/15 B 278
GS A GOLDMAN SACHS GROUP INC 6.38069 PERP A 43
GS C GOLDMAN SACHS GROUP INC 6.37765003112793 PERP C 12
GS D GOLDMAN SACHS GROUP INC 6.30069 PERP D 78
HBANL HUNTINGTON BANCSHARES 6.875 PERP J 19
HBANP HUNTINGTON BANCSHARES 4.5 PERP H 29
HIG G HARTFORD FINL SVCS GRP 6 PERP G 20
HPE C HP ENTERPRISE CO 7.625 2027/9/1 43
HPP C HUDSON PACIFIC PROPERTIE 4.75 PERP C 25
IIPR A INNOVATIVE INDUSTRIAL 9 PERP A 8
IVR C INVESCO MORTGAGE CAPITAL 7.5 PERP C 10
JPM C JPMORGAN CHASE & CO 6 PERP EE 107
JPM D JPMORGAN CHASE & CO 5.75 PERP DD 98
JPM J JPMORGAN CHASE & CO 4.75 PERP GG 52
JPM K JPMORGAN CHASE & CO 4.55 PERP JJ 87
JPM L JPMORGAN CHASE & CO 4.625 PERP LL 107
JPM M JPMORGAN CHASE & CO 4.2 PERP MM 116
JSM NAVIENT CORP 6 2043/12/15 17
JXN A JACKSON FINANCIAL INC 8 PERP 32
KEY I KEYCORP 6.125 PERP E 29
KEY J KEYCORP 5.65 PERP F 25
KEY K KEYCORP 5.625 PERP G 26
KEY L KEYCORP 6.2 PERP 35
KIM L KIMCO REALTY CORP 5.125 PERP L 13
KIM M KIMCO REALTY CORP 5.25 PERP M 15
KKR D KKR & CO INC 6.25 2028/3/1 D 75
KREF A KKR REAL ESTATE FIN 6.5 PERP A 19
LANDO GLADSTONE LAND CORP 6 PERP B 8
LANDP GLADSTONE LAND CORP 6 PERP C 14
LILAP LIBERTY LATIN AMERICAN 9 PERP A 29
LNC D LINCOLN NATIONAL CORP 9 PERP D 29
LOB A LIVE OAK BANCSHARES 8.375 PERP A 6
MBINL MERCHANTS BANCORP 7.625 PERP 13
MCHPP MICROCHIP TECHNOLOGY INC 7.5 2028/3/15 43
MET A METLIFE INC 6.67104 PERP A 35
MET E METLIFE INC 5.625 PERP E 46
MET F METLIFE INC 4.75 PERP F 58
MFA B MFA FINANCIAL INC 7.5 PERP B 12
MFA C MFA FINANCIAL INC 6.5 PERP C 16
MS A MORGAN STANLEY 6.35548 PERP A 64
MS E MORGAN STANLEY 7.125 PERP E 50
MS F MORGAN STANLEY 6.875 PERP F 49
MS I MORGAN STANLEY 6.375 PERP I 58
MS K MORGAN STANLEY 5.85 PERP K 58
MS L MORGAN STANLEY 4.875 PERP L 29
MS O MORGAN STANLEY 4.25 PERP O 75
MS P MORGAN STANLEY 6.5 PERP P 58
MS Q MORGAN STANLEY 6.625 PERP Q 58
MTB H M&T BANK CORPORATION 5.625 PERP H 14
MTB J M&T BANK CORPORATION 7.5 PERP J 43
MTB K M&T BANK CORPORATION 6.35 PERP K 26
NLY F ANNALY CAPITAL MGMT 9.54036998535156 PERP F 42
NLY G ANNALY CAPITAL MGMT 9.82843 PERP G 25
NLY I ANNALY CAPITAL MGMT 6.75 PERP I 26
NLY J ANNALY CAPITAL MGMT 8.875 PERP J 16
NSA A NATIONAL STORAGE AFFILIA 6 PERP A 13
NTRSO NORTHERN TRUST CORP 4.7 PERP E 23
ORCL D ORACLE CORP 6.5 2029/1/15 D 144
OZKAP BANK OZK 4.625 PERP A 20
PBI B PITNEY BOWES INC 6.7 2043/3/7 19
PCG X PG&E CORP 6 2027/12/1 A 46
PMT B PENNYMAC MTGE INVESTMENT 8 PERP B 11
PMT C PENNYMAC MTGE INVESTMENT 6.75 PERP C 14
PNFP B PINNACLE FINANCL PARTNRS 8.397 PERP B 20
PNFP C PINNACLE FINANCL PARTNRS 6.75 PERP C 13
PSA F PUBLIC STORAGE 5.15 PERP F 16
PSA G PUBLIC STORAGE 5.05 PERP G 17
PSA H PUBLIC STORAGE 5.6 PERP H 16
PSA I PUBLIC STORAGE 4.875 PERP I 18
PSA J PUBLIC STORAGE 4.7 PERP J 15
PSA K PUBLIC STORAGE 4.75 PERP K 13
PSA L PUBLIC STORAGE 4.625 PERP L 33
PSA N PUBLIC STORAGE 3.875 PERP N 16
PSA O PUBLIC STORAGE 3.9 PERP O 10
PSA P PUBLIC STORAGE 4 PERP P 35
PSA R PUBLIC STORAGE 4 PERP R 25
PSA S PUBLIC STORAGE 4.1 PERP S 14
QXO B QXO INC 5.5 2028/5/15 17
RF C REGIONS FINANCIAL CORP 5.7 PERP C 29
RF E REGIONS FINANCIAL CORP 4.45 PERP E 23
RF F REGIONS FINANCIAL CORP 6.95 PERP 29
RITM A RITHM CAPITAL CORP 7.5 PERP A 6
RITM B RITHM CAPITAL CORP 7.125 PERP B 16
RITM C RITHM CAPITAL CORP 6.375 PERP C 23
RITM D RITHM CAPITAL CORP 7 PERP D 27
RITM E RITHM CAPITAL CORP 8.75 PERP E 11
RITM F RITHM CAPITAL CORP 8.75 PERP F 14
RLJ A RLJ LODGING TRUST 1.95 PERP A 19
RNR F RENAISSANCERE HOLDINGS L 5.75 PERP F 14
RNR G RENAISSANCERE HOLDINGS L 4.2 PERP G 29
SATA STRIVE INC 12 PERP A 6
SCE G SCE TRUST II 5.1 PERP 13
SCE L SCE TRUST VI 5 PERP 27
SCE M SCE TRUST VII 7.5 PERP M 32
SCE N SCE TRUST VIII 6.95 PERP N 20
SCHW D CHARLES SCHWAB CORP 5.95 PERP D 43
SCHW J CHARLES SCHWAB CORP 4.45 PERP J 35
SF C STIFEL FINANCIAL CORP 6.125 PERP C 13
SF D STIFEL FINANCIAL CORP 4.5 PERP D 17
SLG I SL GREEN REALTY CORP 6.5 PERP I 13
SMCIP SUPER MICRO COMPUTER INC 7 2029/6/1 108
STRC STRATEGY INC 10 PERP A. 151
STRD MICROSTRATEGY INC 10 PERP A 20
STRF MICROSTRATEGY INC 10 PERP 19
STRK MICROSTRATEGY INC 8 PERP 20
STT G STATE STREET CORP 5.35 PERP G 29
SYF A SYNCHRONY FINANCIAL 5.625 PERP A 43
SYF B SYNCHRONY FINANCIAL 8.25 PERP B 29
T A AT&T INC 5 PERP A 69
T C AT&T INC 4.75 PERP C 101
TCBIO TEXAS CAPITAL BANCSHARES 5.75 PERP B 17
TDS U TELEPHONE & DATA SYS 6.625 PERP UU 24
TDS V TELEPHONE & DATA SYS 6 PERP VV 40
TFC I TRUIST FIN CORP 4 PERP I 10
TFC O TRUIST FINANCIAL CORP 5.25 PERP O 33
TFC R TRUIST FINANCIAL CORP 4.75 PERP R 53
TRTN F TRITON INTERNATIONAL LTD 7.625 PERP 9
TRTN G TRITON INTERNATIONAL LTD 7.5 PERP G 10
TWO B TWO HARBORS INV CORP 7.625 PERP B 15
TWO C TWO HARBORS INV CORP 9.55523 PERP C 14
UMBFO UMB FINANCIAL CORP 7.75 PERP 17
UMH D UMH PROPERTIES INC 6.375 PERP D 19
USB H US BANCORP 6.25548 PERP B* 58
USB P US BANCORP 5.5 PERP K 33
USB Q US BANCORP 3.75 PERP L 29
USB R US BANCORP 4 PERP M 43
USB S US BANCORP 4.5 PERP O 26
VLYPN VALLEY NATIONAL BANCORP 8.25 PERP C 9
VNO L VORNADO REALTY TRUST 5.4 PERP L 17
VNO M VORNADO REALTY TRUST 5.25 PERP M 18
VNO N VORNADO REALTY TRUST 5.25 PERP N 17
VNO O VORNADO REALTY TRUST 4.45 PERP O 17
VOYA B VOYA FINANCIAL INC 5.35 PERP B 17
WAFDP WAFD INC 4.875 PERP A 17
WAL A WESTERN ALLIANCE BANCORP 4.25 PERP A 17
WFC A WELLS FARGO & COMPANY 4.7 PERP AA 68
WFC C WELLS FARGO & COMPANY 4.375 PERP CC 61
WFC D WELLS FARGO & COMPANY 4.25 PERP DD 72
WFC Y WELLS FARGO & COMPANY 5.625 PERP Y 40
WFC Z WELLS FARGO & COMPANY 4.75 PERP Z 116
WHR A WHIRLPOOL CORP 8.5 2029/2/15 A 17
WTFCN WINTRUST FINANCIAL CORP 7.875 PERP F 25
每申購基數實際申購總價金及總價金差異額與實際執行結果有關,以基金經理公司通知給付之金額為準,詳請參閱公開說明書。
  • 國內 ETF
  • 海外 ETF
  • 槓 / 反 ETF
  • 固定收益型 ETF
  • 主動式 ETF