(5720)統一亞洲非投資等級債券基金-累積型(台幣)(基金之配息來源可能為本金)
依持有類股(資料日期:2026/07/10)
依區域(資料日期:2026/06/30)
持股明細(資料日期:2026/06/30)
持股名稱比例
SHUION 9 3/4 01/26/296.37%
FUTLAN 11.88 06/26/285.59%
LIFUNG 8 3/8 02/05/295.14%
MONMIN 8.44 04/03/305.14%
BORLTD 9 1/2 08/07/324.05%
VEDLN 10 7/8 09/17/294.02%
INDYIJ 8 3/4 05/07/293.82%
PAKWNP 7 1/2 06/04/313.69%
AVAPLN 8 1/2 05/15/313.57%
CSNABZ 8 7/8 12/05/303.30%
MEDCIJ 8 5/8 05/19/303.28%
GLMTMO 11 05/20/273.26%
IHFLIN 9.7 07/03/273.24%
FOSUNI 8 1/2 05/19/283.23%
GLPSP 9 3/4 05/20/283.21%
WESODA 9 1/2 10/06/283.17%
CHIOIL 7 02/04/293.07%
iShares可轉換債券ETF3.06%
PEMEX 10 02/07/332.97%
SOFTBK 8 1/2 04/22/362.61%
RAKUTN 11 1/4 02/15/272.60%
KARAU 10 1/2 05/14/292.60%
IIFOIN 8 3/4 07/24/282.60%
NICAU 9 09/30/302.58%
GRNCH 8.45 02/24/282.54%
AUNA 8 3/4 11/06/322.53%
GDZELE 9 10/15/292.44%
WESCHI 10 1/2 11/11/292.18%
投資注意事項