(F1787)中國信託高評級策略收益債券基金-美元B(月配)(基金有一定比重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本金)※
依持有類股(資料日期:2026/04/24)
依產業(資料日期:2026/03/31)
依區域(資料日期:2026/03/31)
持股明細(資料日期:2026/03/31)
持股名稱比例
JPM 4.95 06/01/453.40%
VZ 5.012 08/21/543.34%
MS 4.375 01/22/473.28%
RDSALN 3.75 09/12/463.25%
MFCCN 5.375 03/04/463.12%
AZN 4.375 11/16/453.05%
PFE 4.125 12/15/463.03%
AAPL 3.85 05/04/433.01%
IBM 4.25 05/15/492.81%
iShares可轉換債券ETF2.78%
State Street SPDR彭博可轉換證券ETF2.74%
iShares墮落天使美元債券ETF2.67%
CB 6.5 05/15/38 12.61%
VanEck墜落天使非投資等級債券ETF2.55%
KO 2.75 06/01/602.42%
WFC 4.75 12/07/46 MTN2.37%
LLOYDS 4.344 01/09/482.27%
ABBV 4.25 11/21/492.19%
GSK 6.375 05/15/382.08%
FDX 5.1 01/15/441.72%
DUK 5.3 02/15/401.63%
KHC 6.875 01/26/391.53%
RJF 4.95 07/15/461.45%
NFLX 4.875 04/15/281.43%
BRKHEC 6.125 04/01/361.38%
ABIBB 8.2 01/15/391.33%
PFE 6.5 02/01/341.30%
C 4.75 05/18/461.29%
MQGAU 5.391 12/07/26 REGS1.18%
HD 5.875 12/16/361.13%
INTC 4 12/15/321.11%
PCG 3.75 07/01/281.04%
UPS 6.2 01/15/381.02%
投資注意事項