TAIWAN-LISTED ETF

Fuh Hwa FTSE Taiwan High Div Low Vol ETF

00731

Public market and portfolio disclosure data. Latest market date: 2026-07-31.

91.05TWD+3.60
Latest closeTWD 91.05
Daily change+4.12%
Assets under managementTWD 1.9B
Trailing 12-month distribution yield3.08%
NAVTWD 91.02
Premium / discount0.03%
Beneficiaries8,475
Holdings dateJul 30, 2026

Period+18.50 (+25.50%)

Beneficial-owner trend

2026-03-23 → 2026-07-31-2,925 (-25.66%)

Fund profile

IssuerFuh Hwa Securities Investment Trust
Listing dateApr 20, 2018
Management fee0.45%
Custody fee0.04%
Total expense ratio
Beneficiaries8,475
NAVTWD 91.02
Premium / discount0.03%

Latest distribution

TWD 0.752

Ex-dividend date: May 20, 2026

Payment date: Jun 15, 2026

Full distribution history

Sector allocation

Communications & Networking
9.01%
Semiconductors
6.70%
Transportation
4.58%
Food
4.26%
Electronics Distribution
3.84%
Optoelectronics
3.65%
Computers & Peripherals
2.68%
Cement
2.41%

Top 10 holdings

SecurityPortfolio weight
2881 · 28819.66%
2882 · 28829.00%
2891 · 28918.87%
2887 · 28878.22%
2886 · 28866.61%
2412 · 24125.66%
2883 · 28834.82%
1216 · 12163.95%
202608WTX · 202608WTX3.91%
2379 · 23793.65%
View holdings

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Taiwan ETF overview FAQ

What information is available on a Taiwan ETF overview page?

The page combines price and premium history, fund size, beneficial owners, fees, distributions, leading holdings and sector allocation from public Taiwan market disclosures.

What does a portfolio weight mean?

A portfolio weight is the percentage of the ETF allocated to a security. Larger positions generally have a greater influence on the ETF’s net asset value.

How current are the figures?

Market, holdings and distribution data update on different schedules. Use the date displayed in each section rather than assuming every figure has the same effective date.

Data note

Prices, portfolio holdings, fund statistics and distributions may have different effective dates. Data is for research and reference only and is not investment advice.