匯豐亞洲非投資等級債券基金-台幣月配型AM1
3.7583
台幣
+0.04 (1.05%)
最新淨值(2025/04/11)
參考指標
摩根亞洲信貸指數非投資級別企業指數
參考ETF
亞洲非投資等級債券ETF (TAGD)
風險評等
RR4
基金類型
債券型
持股/持倉明細
本基金持股/持倉標的、地區與產業
每週更新資訊
資料時間
持股/持倉種類 | 佔比 |
---|---|
債券 | 95.88% |
買賣斷債券 | 95.88% |
無擔保公司債主順位 | 55.48% |
有擔保公司債(100%比例)主順位 | 40.40% |
存款 | 3.41% |
活期存款 | 3.41% |
每月更新資訊
資料時間
前十大持股/持倉
類股配置 | 佔比 |
---|---|
GLP PTE LTD SER EMTN (REG) (REG S) 3.875% 04JUN2025 | 4.22% |
SANDS CHINA LTD SER WI (REG) 5.4% 08AUG2028WI | 3.24% |
MEDCO MAPLE TREE PTE LTD SER REGS (REG) (REG S) 8.96% 27APR2029 | 2.85% |
GLP CHINA HOLDINGS LTD SER EMTN (REG) (REG S) 2.95% 29MAR2026 | 2.51% |
VEDANTA RESOURCES 10.875000% 17SEP2029 | 2.27% |
INDIA GREEN POWER HOLD SER REGS (REG) (REG S) 4% 22FEB2027 | 2.25% |
CONTINUUM ENERGY AURA SER REGS (REG S) 9.5% 24FEB2027 | 2.25% |
HEALTH AND HAPPINESS H&H (REG) 9.125000 % 24JUL2028 | 2.24% |
MGM CHINA HOLDINGS LTD SER REGS (REG) (REG S) 7.125% 26JUN2031 | 2.23% |
VEDANTA RESOURCES SER REGS 9.850000 % 24APR2033 | 2.22% |
每季更新資訊
資料時間
1%以上持股/持倉
類股配置 | 佔比 |
---|---|
GLP PTE LTD SER EMTN (REG) (REG S) 3.875% 04JUN2025 | 4.16% |
SANDS CHINA LTD SER WI (REG) 5.4% 08AUG2028WI | 3.20% |
MEDCO MAPLE TREE PTE LTD SER REGS (REG) (REG S) 8.96% 27APR2029 | 2.83% |
LONGFOR HOLDINGS LTD (REG) (REG S) 3.95% 16SEP2029 | 2.44% |
GLP CHINA HOLDINGS LTD SER EMTN (REG) (REG S) 2.95% 29MAR2026 | 2.43% |
INDIA GREEN POWER HOLD SER REGS (REG) (REG S) 4% 22FEB2027 | 2.39% |
CONTINUUM ENERGY AURA SER REGS (REG S) 9.5% 24FEB2027 | 2.26% |
VEDANTA RESOURCES 10.875000% 17SEP2029 | 2.24% |
DELHI INTL AIRPORT SER REGS (REG) (REG S) 6.45% 04JUN2029 | 2.21% |
MUTHOOT FINANCE LTD SER REGS (REG S) 7.125% 14FEB2028 | 2.20% |
SOFTBANK GROUP CORP (REG) (REG S) 7% 08JUL2031 | 2.20% |
DIAMOND II LTD SER REGS (REG S) 7.95% 28JUL2026 | 2.19% |
MGM CHINA HOLDINGS LTD SER REGS (REG) (REG S) 7.125% 26JUN2031 | 2.18% |
GREENKO SOLAR MAURITIUS SER REGS (REG) (REG S) 5.95% 29JUL2026 | 2.18% |
IRB INFRASTRUCTURE DEVE SER REGS (REG S) 7.11% 11MAR2032 | 2.18% |
SAEL LTD GROUP ISSUERS SER REGS (REG S) 7.8% 31JUL2031 | 2.17% |
SHRIRAM FINANCE LTD SER REGS (REG S) 6.625% 22APR2027 | 2.17% |
FORTUNE STAR BVI LTD 8.500000 % 19MAY2028 | 2.17% |
STUDIO CITY CO LTD SER REGS (REG) (REG S) 7% 15FEB2027 | 2.16% |
MELCO RESORTS FINANCE 4.875% 06JUN2025 | 2.14% |
JABABEKA INTERNATIONAL SER REGS (REG S) STP 15DEC2027 | 2.14% |
HPCL-MITTAL ENERGY LTD (REG) (REG S) 5.25% 28APR2027 | 2.13% |
GREENTOWN CHINA HLDGS (REG)(REG S) 4.7% 29APR2025 | 2.13% |
CA MAGNUM HOLDINGS SER REGS (REG) (REG S) 5.375% 31OCT2026 | 2.10% |
MGM CHINA HOLDINGS LTD SER REGS (REG S) 4.75% 01FEB2027 | 2.09% |
STUDIO CITY FINANCE LTD SER REGS (REG) (REG S) 6.5% 15JAN2028 | 2.09% |
JSW INFRASTRUCTURE SER REGS (REG) (REG S) 4.95% 21JAN2029 | 2.08% |
PT PAKUWON JATI (REG S) 4.875% 29APR2028 | 2.08% |
WYNN MACAU LTD SER REGS (REG) (REG S) 5.625% 26AUG2028 | 2.07% |
JSW STEEL LTD SER REGS (REG) (REG S) 3.95% 05APR2027 | 2.07% |
CFAMC III CO. LTD. SER EMTN (REG) (REG S) 4.25% 07NOV2027 | 2.07% |
MELCO RESORTS FINANCE SER REGS (REGS) 5.75% 21JUL2028 | 2.06% |
GMR HYDERABAD INTERNATIO SER REGS (REGS) 4.25% 27OCT2027 | 2.06% |
CFAMC IV CO LTD SER EMTN (REGS) 4.5% 29MAY2029 | 2.05% |
INDIA CLEAN ENERGY HLDG SER REGS (REG) (REG S) 4.5% 18APR2027 | 2.04% |
WYNN MACAU LTD SER REGS (REG) (REG S) 5.125% 15DEC2029 | 2.00% |
FRANSHION BRILLIANT LTD (REG S) 4.25% 23JUL2029 | 1.83% |
CLEAN RENEWABLE POWER SER REGS (REG) (REG S) 4.25% 25MAR2027 | 1.73% |
GREENKO POWER II LTD SER REGS (REG) (REG S) 4.3% 13DEC2028 | 1.70% |
STAR ENERGY GEOTHERMAL SER REGS (REG) (REG S) 6.75% 24APR2033 | 1.62% |
NWD MTN LTD (REG) (REG S) 8.625% 08FEB2028 | 1.57% |
MN MINING/ENERGY RESOURC (REG S) 12.5% 13SEP2026 | 1.47% |
JSW HYDRO ENERGY LTD SER REGS (REG) (REG S) 4.125% 18MAY2031 | 1.43% |
NWD MTN LTD SER EMTN (REG) (REG S) 4.5% 19MAY2030 | 1.30% |
RENEW POWER PVT LTD SER REGS (REG) (REG S) 5.875% 05MAR2027 | 1.18% |
資料來源: 基金投資目標、基本資料、費用、淨值、歷史配息、資產配置資料來源來自投信投顧公會(https://www.sitca.org.tw) & 基金資訊觀測站(http://www.fundclear.com.tw) & 各基金公司官網。
績效為原幣計算,報酬率已考慮基金配息還原計入。所有基金績效、風險值,均基於過去資料所計算,不代表未來之績效與風險表現,亦不保證基金之最低投資收益。
淨值可能因系統更新作業與實際狀況有所差異,相關淨值與上述基金各項資料僅供參考,所有資訊揭露以基金公司公告為主。ifa.ai 自當盡力提供正確訊息,但如有疏忽或錯誤遺漏,本公司或關係企業與其任何董事或任何受僱人,恕不負任何法律責任。