主動富邦複合收益
00983D 成交量僅含一般交易、盤後定價交易10.14
0.01 0.1%看盤、練手兩相宜,真實報價配模擬單,試試台指當沖模擬器。
主動富邦複合收益(00983D) ETF持股分布
目前尚無相關資料
債券持倉明細
2026/07/28發行公司 | 票息率 | 到期日 | 面額 | 市值 | 權重 |
|---|---|---|---|---|---|
ABIBB US03523TBF49 | 8.2% | 2039/01/15 | 510,000 | 20,466,073 | 1.9801% |
C US172967EW71 | 8.125% | 2039/07/15 | 510,000 | 20,346,145 | 1.9685% |
DOW US260543BY86 | 9.4% | 2039/05/15 | 480,000 | 20,082,662 | 1.943% |
HAL US406216AY74 | 7.45% | 2039/09/15 | 510,000 | 19,056,376 | 1.8437% |
RAKUTN USJ64264AG96 | 11.25% | 2027/02/15 | 560,000 | 18,711,050 | 1.8103% |
BHCCN USC07885AL76 | 11% | 2028/09/30 | 570,000 | 18,684,847 | 1.8078% |
TRPCN US8935268Z94 | 7.625% | 2039/01/15 | 470,000 | 17,698,044 | 1.7123% |
GTN USU42511AJ14 | 10.5% | 2029/07/15 | 511,000 | 17,495,319 | 1.6927% |
MS US617446HD43 | 7.25% | 2032/04/01 | 470,000 | 16,981,555 | 1.643% |
AMCX USU02400AC01 | 10.5% | 2032/07/15 | 500,000 | 16,682,618 | 1.614% |
DTV USU2541MAC48 | 8.875% | 2030/02/01 | 500,000 | 16,467,411 | 1.5932% |
DUK US743263AE50 | 7.75% | 2031/03/01 | 450,000 | 16,180,557 | 1.5655% |
TELEFONICA EMISIONES SAU US87938WAC73 | 7.045% | 2036/06/20 | 460,000 | 16,157,274 | 1.5632% |
DELL US24703TAJ51 | 8.1% | 2036/07/15 | 420,000 | 15,931,202 | 1.5413% |
IEP USU44927BD96 | 10% | 2029/11/15 | 490,000 | 15,861,523 | 1.5346% |
CYH USU17127AX63 | 10.875% | 2032/01/15 | 450,000 | 15,406,835 | 1.4906% |
PFE US717081CY74 | 7.2% | 2039/03/15 | 400,000 | 14,949,032 | 1.4463% |
DELL US24703TAK25 | 8.35% | 2046/07/15 | 370,000 | 14,848,775 | 1.4366% |
VENLNG USU9220NAC57 | 9.5% | 2029/02/01 | 420,000 | 14,617,294 | 1.4142% |
BRITEL US111021AE12 | 9.625% | 2030/12/15 | 370,000 | 14,066,793 | 1.361% |
MOHEGN USU60731AB91 | 11.875% | 2031/04/15 | 400,000 | 14,065,633 | 1.3608% |
BATSLN US054989AD07 | 7.081% | 2053/08/02 | 390,000 | 13,892,731 | 1.3441% |
MBGGR US233835AQ08 | 8.5% | 2031/01/18 | 370,000 | 13,645,080 | 1.3201% |
BACR US06738ECE32 | 7.437% | 2033/11/02 | 370,000 | 13,253,849 | 1.2823% |
CRWV USU2069EAB66 | 9% | 2031/02/01 | 440,000 | 12,730,089 | 1.2316% |
SUCN US86722TAB89 | 6.85% | 2039/06/01 | 360,000 | 12,728,311 | 1.2314% |
GM US37045VAL45 | 6.75% | 2046/04/01 | 370,000 | 12,392,061 | 1.1989% |
NVDA US67066GAU85 | 5.55% | 2046/06/15 | 400,000 | 12,082,297 | 1.1689% |
PCG US694308KH99 | 6.75% | 2053/01/15 | 360,000 | 12,009,733 | 1.1619% |
VZ US92344GAM87 | 7.75% | 2030/12/01 | 330,000 | 11,866,277 | 1.148% |
ENBCN US29250NBZ78 | 6.7% | 2053/11/15 | 340,000 | 11,734,126 | 1.1353% |
BNCN US10549PAG63 | 7.375% | 2033/03/01 | 320,000 | 11,623,044 | 1.1245% |
PCG US694308KK29 | 6.7% | 2053/04/01 | 350,000 | 11,596,437 | 1.1219% |
SPCX USU8531HAD27 | 6.6% | 2046/07/15 | 400,000 | 11,454,875 | 1.1082% |
BATSLN US054989AC24 | 7.079% | 2043/08/02 | 320,000 | 11,323,084 | 1.0955% |
HSBC US404280DW61 | 6.332% | 2044/03/09 | 330,000 | 11,119,383 | 1.0758% |
KMI US494550AW68 | 6.95% | 2038/01/15 | 310,000 | 11,050,280 | 1.0691% |
ATH US04686JAL52 | 6.625% | 2055/05/19 | 340,000 | 10,468,124 | 1.0128% |
TELEFO US879385AD49 | 8.25% | 2030/09/15 | 290,000 | 10,466,976 | 1.0127% |
KHC US50076QAR74 | 6.875% | 2039/01/26 | 300,000 | 10,457,174 | 1.0117% |
HPE US42824CAY57 | 6.35% | 2045/10/15 | 320,000 | 10,285,787 | 0.9951% |
DT US25156PAD50 | 9.25% | 2032/06/01 | 250,000 | 9,804,370 | 0.9486% |
MINAU USQ60976AD18 | 9.25% | 2028/10/01 | 273,000 | 9,126,684 | 0.883% |
UNITEDHEALTH GROUP INC US91324PBK75 | 6.875% | 2038/02/15 | 250,000 | 9,062,906 | 0.8768% |
ALLY US370425RZ53 | 8% | 2031/11/01 | 250,000 | 8,981,332 | 0.8689% |
GE US36962G4B75 | 6.875% | 2039/01/10 | 240,000 | 8,849,695 | 0.8562% |
LOW US548661CP07 | 6.65% | 2037/09/15 | 250,000 | 8,831,807 | 0.8545% |
PDM US720198AG56 | 9.25% | 2028/07/20 | 250,000 | 8,700,040 | 0.8417% |
ORCL US68389XCK90 | 6.9% | 2052/11/09 | 300,000 | 8,660,048 | 0.8378% |
CP US13645RAD61 | 7.125% | 2031/10/15 | 240,000 | 8,527,655 | 0.825% |
BRKHEC US641423BU11 | 6.75% | 2037/07/01 | 240,000 | 8,520,415 | 0.8243% |
CEG US210385AE04 | 6.5% | 2053/10/01 | 240,000 | 8,113,369 | 0.7849% |
VLO US91913YAL48 | 6.625% | 2037/06/15 | 220,000 | 7,763,570 | 0.7511% |
OXY US674599DL68 | 6.6% | 2046/03/15 | 230,000 | 7,711,006 | 0.746% |
DOW US260543DH36 | 6.9% | 2053/05/15 | 230,000 | 7,704,143 | 0.7453% |
AET US00817YAF51 | 6.625% | 2036/06/15 | 220,000 | 7,663,385 | 0.7414% |
MCD US58013MEF77 | 6.3% | 2038/03/01 | 220,000 | 7,647,972 | 0.7399% |
AWK US03040WAD74 | 6.593% | 2037/10/15 | 210,000 | 7,463,877 | 0.7221% |
FFHCN US303901BR22 | 6.35% | 2054/03/22 | 230,000 | 7,334,795 | 0.7096% |
OKE US682680BN20 | 6.625% | 2053/09/01 | 220,000 | 7,275,203 | 0.7038% |
CMCSA US20030NAV38 | 6.95% | 2037/08/15 | 200,000 | 6,951,210 | 0.6725% |
S US852060AT99 | 8.75% | 2032/03/15 | 180,000 | 6,813,529 | 0.6592% |
ED US209111EU37 | 6.75% | 2038/04/01 | 180,000 | 6,475,784 | 0.6265% |
DIS US254687EZ57 | 7.75% | 2045/12/01 | 160,000 | 6,306,091 | 0.6101% |
SABHLD USU86043AJ26 | 10.75% | 2029/11/15 | 200,000 | 6,113,479 | 0.5914% |
GE US36962GXZ26 | 6.75% | 2032/03/15 | 170,000 | 6,029,670 | 0.5833% |
NTRCN US67077MAP32 | 7.125% | 2036/05/23 | 160,000 | 5,759,885 | 0.5572% |
ABXCN US06849RAC60 | 7.5% | 2038/09/15 | 150,000 | 5,649,528 | 0.5466% |
RIOLN US013716AQ81 | 7.25% | 2031/03/15 | 150,000 | 5,322,292 | 0.5149% |
TIME WARNER CABLE INC US88732JAN81 | 7.3% | 2038/07/01 | 160,000 | 5,178,494 | 0.501% |
TIME WARNER CABLE INC US88732JAU25 | 6.75% | 2039/06/15 | 160,000 | 4,933,649 | 0.4773% |
GM US37045VAK61 | 6.6% | 2036/04/01 | 120,000 | 4,123,358 | 0.3989% |
ORCL US68389XAE58 | 6.5% | 2038/04/15 | 130,000 | 4,012,469 | 0.3882% |
GS US38141GGM06 | 6.25% | 2041/02/01 | 100,000 | 3,366,234 | 0.3256% |
SJM US832696AZ12 | 6.5% | 2053/11/15 | 60,000 | 2,058,838 | 0.1991% |
T US00206RAS13 | 6.55% | 2039/02/15 | 60,000 | 2,052,162 | 0.1985% |
SJM US832696AY47 | 6.5% | 2043/11/15 | 60,000 | 2,045,235 | 0.1978% |
SYY US871829BN62 | 6.6% | 2050/04/01 | 60,000 | 2,013,863 | 0.1948% |
MPC US56585AAF93 | 6.5% | 2041/03/01 | 50,000 | 1,705,238 | 0.1649% |
ET US29273RAR03 | 6.5% | 2042/02/01 | 50,000 | 1,682,192 | 0.1627% |
TRGP US87612GAD34 | 6.5% | 2053/02/15 | 50,000 | 1,652,304 | 0.1598% |
基金持有明細
2026/07/28| 標的名稱 | 單位數 | 權重 |
|---|---|---|
ISHARES INVESTMENT GRADE CORPO LQDW US | 100,000 | 7.3935% |
ISHARES 20+ YEAR TREASURY BOND TLTW US | 108,000 | 7.3783% |
其他資產
| 項目 | 金額 |
|---|---|
| 現金 | EUR34,515 |
| 現金 | TWD31,837,543 |
| 現金 | USD1,659,161 |
| 應付受益權單位買回款 | TWD5,079,136 |
| 應收(付)證券款 | USD151,841.64 |
補充說明
*ETF並非單一股票或單一債券組合而成,而是一籃子投資標組合而成的,ETF成分股決定了ETF的價值,對於想要以低成本進行資產配置的投資人而言,深入了解基金組合比例是偏重股票、期貨、債券,再進一步分析股票型的產業分布、持股明細和持股權重比例,可掌握到底是哪些成分股的表現影響ETF成長或衰退,也可以在ETF選股時,盡可能避免購買單支成分股權重過高的ETF,較容易使投資風險過於集中。
主動式ETF,是一種基金經理人基於特定投資目標與策略,主動建構投資組合,並進行操作、調整,期能超越大盤指數等績效指標或達到特定投資目標,並在證券交易所上市交易的開放式基金。
資料來源:本站 ETF 持股分布資料來源為各投信公司官方網站、臺灣證券交易所及中華民國證券櫃檯買賣中心公開揭露之申購買回清單(PCF)與相關公告,於每個交易日收盤後彙整更新。部分資料因各投信公告時間不同,實際更新時間可能有所差異。
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