(77AU)復華新興市場非投資等級債券基金B配息(台幣)(基金之配息來源可能為本金)
依持有類股(資料日期:2024/11/01)
依產業(資料日期:2024/09/30)
依區域(資料日期:2024/09/30)
持股明細(資料日期:2024/09/30)
持股名稱比例
PANAMA 7 1/2 03/01/314.69%
SERBIA 6 06/12/344.41%
PEMEX 6 1/2 03/13/274.20%
IVYCST 6 3/8 03/03/283.75%
PEMEX 6 1/2 01/23/293.54%
OMGRID 5.8 02/03/313.27%
TURKEY 6 1/2 09/20/333.18%
MOROC 4 12/15/503.17%
OMAN 7 3/8 10/28/323.07%
DOMREP 4 1/2 01/30/303.07%
DOMREP 4 7/8 09/23/323.06%
LTMCI 13 3/8 10/15/272.95%
DOMREP 6.85 01/27/452.86%
SERBIA 6 1/2 09/26/332.86%
MONGOL 4.45 07/07/312.85%
MONGOL 7 7/8 06/05/292.84%
BHRAIN 5.45 09/16/322.58%
EGYPT 3 7/8 02/16/262.57%
TUPY 4 1/2 02/16/312.39%
MOROC 6 1/2 09/08/332.32%
OMAN 6 1/4 01/25/312.28%
ADSEZ 3.1 02/02/312.27%
PANAMA 6.7 01/26/361.95%
KZOKZ 3 1/2 04/14/331.87%
COLOM 3 1/8 04/15/311.77%
BHRAIN 5 5/8 09/30/311.59%
BRFSBZ 4 7/8 01/24/301.55%
KOS 7 1/2 03/01/281.55%
TURKEY 5 1/4 03/13/301.55%
COLOM 4 1/2 03/15/291.52%
SOAF 6.3 06/22/481.44%
DARALA 8 02/25/291.40%
MGMCHI 7 1/8 06/26/311.38%
OCPMR 6 7/8 04/25/441.36%
PANAMA 3.16 01/23/301.20%
BHRAIN 7 3/8 05/14/301.16%
TAVHL 8 1/2 12/07/281.13%
ULKER 7 7/8 07/08/311.11%
AKBNK 7.498 01/20/301.10%
EGYPT 7 1/2 01/31/271.07%
EGYPT 6.588 02/21/281.02%
投資注意事項