| 富蘭克林華美10年期以上投資級美元金融債ETF基金(本基金之配息來源可能為收益平準金) |
| 基金持股分佈(依持有類股) 資料日期:2026/10/02 |
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| 基金持股分佈
資料日期:2026/08/31 |
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| 基金持股分佈(依區域)
資料日期:2026/08/31 |
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| 富蘭克林華美10年期以上投資級美元金融債ETF基金(本基金之配息來源可能為收益平準金)-持股明細 資料月份:2026/08 |
| 股票名稱 | 持股(千股) | 比例 | 增減 |
股票名稱 | 持股(千股) | 比例 | 增減 |
| GS 6 3/4 10/01/37 |
N/A |
3.51 |
-0.10% |
BAC 7 3/4 05/14/38 |
N/A |
0.91 |
-0.65% |
| CBAAU 5.929 03/14/46 |
N/A |
3.09 |
0.45% |
UBS 4 1/2 06/26/48 |
N/A |
0.91 |
-0.42% |
| MS 5.516 11/19/55 |
N/A |
2.58 |
0.36% |
C 4 3/4 05/18/46 |
N/A |
0.90 |
0.12% |
| SOCGEN 7.132 01/19/55 |
N/A |
2.47 |
0.35% |
WFC 4 3/4 12/07/46 |
N/A |
0.89 |
0.12% |
| MS 6 3/8 07/24/42 |
N/A |
2.44 |
-0.06% |
BAC 4.443 01/20/48 |
N/A |
0.88 |
0.12% |
| WFC 5.013 04/04/51 |
N/A |
2.44 |
-0.23% |
ISPIM 7.778 06/20/54 |
N/A |
0.88 |
0.12% |
| GS 6 1/4 02/01/41 |
N/A |
2.39 |
0.28% |
WFC 5.606 01/15/44 |
N/A |
0.87 |
0.12% |
| BAC 4.083 03/20/51 |
N/A |
2.39 |
0.35% |
WFC 5 3/8 11/02/43 |
N/A |
0.86 |
0.12% |
| RABOBK 5 1/4 08/04/45 |
N/A |
2.35 |
0.26% |
HSBC 6.8 06/01/38 |
N/A |
0.83 |
0.11% |
| SUMIBK 5.796 07/08/46 |
N/A |
2.23 |
0.32% |
BAC 3.311 04/22/42 |
N/A |
0.82 |
0.11% |
| LLOYDS 5.3 12/01/45 |
N/A |
1.98 |
0.29% |
HSBC 6 1/2 09/15/37-1 |
N/A |
0.82 |
-0.45% |
| GS 5.561 11/19/45 |
N/A |
1.90 |
0.28% |
JPM 3.897 01/23/49 |
N/A |
0.81 |
0.12% |
| GS 5.734 01/28/56 |
N/A |
1.72 |
-0.13% |
JPM 3.882 07/24/38 |
N/A |
0.80 |
0.11% |
| JPM 6.4 05/15/38 |
N/A |
1.68 |
0.24% |
SUMIBK 6.184 07/13/43 |
N/A |
0.79 |
0.11% |
| HSBC 6 1/2 09/15/37 |
N/A |
1.67 |
0.23% |
C 3.878 01/24/39 |
N/A |
0.78 |
0.10% |
| WFC 6.6 01/15/38 |
N/A |
1.66 |
0.24% |
JPM 5.6 07/15/41 |
N/A |
0.76 |
0.10% |
| ISPIM 7.8 11/28/53 |
N/A |
1.64 |
0.24% |
MS 4 3/8 01/22/47 |
N/A |
0.75 |
0.11% |
| WFC 4.9 11/17/45 |
N/A |
1.58 |
0.22% |
JPM 5.4 01/06/42 |
N/A |
0.75 |
0.10% |
| BACR 6.036 03/12/55 |
N/A |
1.57 |
0.23% |
JPM 5 5/8 08/16/43 |
N/A |
0.75 |
0.09% |
| MUFG 3.751 07/18/39 |
N/A |
1.54 |
0.22% |
BNP 2.824 01/26/41 |
N/A |
0.75 |
0.10% |
| BACR 5.86 08/11/46 |
N/A |
1.48 |
0.17% |
STANLN 5.7 03/26/44 |
N/A |
0.74 |
-1.83% |
| UBS 5.379 09/06/45 |
N/A |
1.46 |
-1.42% |
RJF 5.65 09/11/55 |
N/A |
0.74 |
0.11% |
| JPM 3.964 11/15/48 |
N/A |
1.42 |
0.21% |
WFC 4.4 06/14/46 |
N/A |
0.73 |
0.10% |
| WFC 4.65 11/04/44 |
N/A |
1.41 |
0.20% |
WFC 3.9 05/01/45 |
N/A |
0.72 |
0.11% |
| MS 4.3 01/27/45 |
N/A |
1.26 |
0.19% |
JPM 3.109 04/22/51 |
N/A |
0.70 |
0.10% |
| BAC 4.33 03/15/50 |
N/A |
1.24 |
0.17% |
GS 3.436 02/24/43 |
N/A |
0.68 |
0.08% |
| BPCEGP 6.915 01/14/46 |
N/A |
1.24 |
0.17% |
RJF 4.95 07/15/46 |
N/A |
0.67 |
0.10% |
| C 5.612 03/04/56 |
N/A |
1.19 |
-0.47% |
BAC 2.972 07/21/52 |
N/A |
0.67 |
0.10% |
| BAC 6 10/15/36 |
N/A |
1.13 |
0.15% |
GS 4.8 07/08/44 |
N/A |
0.66 |
0.09% |
| GS 5.15 05/22/45 |
N/A |
1.10 |
0.16% |
GS 4.017 10/31/38 |
N/A |
0.66 |
0.09% |
| JPM 5 1/2 10/15/40 |
N/A |
1.08 |
0.15% |
GS 4 3/4 10/21/45 |
N/A |
0.66 |
0.09% |
| MS 5.597 03/24/51 |
N/A |
1.04 |
0.15% |
C 4.65 07/30/45 |
N/A |
0.66 |
0.10% |
| JPM 5.534 11/29/45 |
N/A |
1.04 |
0.14% |
BAC 3.483 03/13/52 |
N/A |
0.64 |
0.09% |
| C 6.675 09/13/43 |
N/A |
1.01 |
0.14% |
JPM 3.157 04/22/42 |
N/A |
0.58 |
0.08% |
| WFC 4.611 04/25/53 |
N/A |
1.01 |
0.14% |
GS 4.411 04/23/39 |
N/A |
0.55 |
0.08% |
| BAC 5 01/21/44 |
N/A |
0.98 |
0.14% |
MS 3.971 07/22/38 |
N/A |
0.53 |
0.07% |
| HSBC 6.332 03/09/44 |
N/A |
0.98 |
0.14% |
BAC 4.078 04/23/40 |
N/A |
0.53 |
0.07% |
| JPM 4.95 06/01/45 |
N/A |
0.97 |
-0.21% |
JPM 2.525 11/19/41 |
N/A |
0.53 |
0.07% |
| ACAFP 2.811 01/11/41 |
N/A |
0.96 |
0.13% |
JPM 4.26 02/22/48 |
N/A |
0.49 |
-0.80% |
| BAC 6.11 01/29/37 |
N/A |
0.95 |
0.13% |
BAC 2.676 06/19/41 |
N/A |
0.43 |
0.05% |
| C 8 1/8 07/15/39 |
N/A |
0.94 |
-0.69% |
JPM 3.328 04/22/52 |
N/A |
0.41 |
0.06% |
| C 5 7/8 01/30/42 |
N/A |
0.93 |
0.13% |
C 5.316 03/26/41 |
N/A |
0.30 |
0.04% |
| BAC 5 7/8 02/07/42 |
N/A |
0.93 |
-0.31% |
HSBC 6.1 01/14/42 |
N/A |
0.16 |
-1.22% |
| BAC 3.946 01/23/49 |
N/A |
0.93 |
0.13% |
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(1)股票型及平衡型基金自91年7月份起放寬為每月公布基金持股前五大個股名稱,及合計占基金淨資產價值之比例;每季(3、6、9、12月)公布基金投資個股內容及比例。
(2)國內募集投資國外之股票型基金,放寬為每季公布基金持股前五大個股名稱,及合計占基金淨資產價值之比例;每半年公布基金投資個股內容及比例。 |