TAIWAN-LISTED ETF

Taishin J.P.Morgan Emerging Markets IG Bond ETF Fund

00734B

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

15.66TWD-0.01

00734B holds 59 disclosed positions

Latest disclosed portfolio holdings and sector allocation.

Holdings date: Jul 29, 2026

Largest position5.06%
Top 10 concentration36.08%
Disclosed positions59
Sectors reported0

Sector allocation

No data is currently available.

Asset allocation

Other assets
97.81%

Complete holdings

59 positions shown · sortable source data ordered by portfolio weight.

#SecurityIndustryWeightShares
1XS1575968026 · OMAN 6 1/2 03/08/475.06%600,000
2US718286AY36 · PHILIP 9 1/2 02/02/304.72%500,000
3US445545AF36 · REPHUN 7 5/8 03/29/413.82%400,000
4US91087BAL45 · MEX 5 04/27/513.50%560,000
5US195325BK01 · COLOM 7 3/8 09/18/373.45%400,000
6XS2747599509 · KSA 5 3/4 01/16/543.40%450,000
7XS2109770151 · KSA 3 3/4 01/21/553.25%600,000
8XS3267899923 · KSA 5 7/8 01/12/563.04%400,000
9US91087BAX82 · MEX 6.338 05/04/532.97%400,000
10US698299BH68 · PANAMA 4 1/2 04/16/502.87%450,000
11XS2999564581 · ROMANI 7 1/2 02/10/372.64%300,000
12US731011AW25 · POLAND 5 1/2 04/04/532.63%350,000
13USP3143NBE33 · CDEL 3 09/30/292.32%300,000
14US731011AZ55 · POLAND 5 1/2 03/18/542.23%300,000
15USP6629MAD40 · MEXCAT 5 1/2 07/31/472.10%300,000
16US760942BD38 · URUGUA 4.975 04/20/551.99%280,000
17US91087BBA70 · MEX 6.4 05/07/541.86%250,000
18US195325EF88 · COLOM 8 04/20/331.79%200,000
19XS2574267261 · REPHUN 6 1/4 09/22/321.73%200,000
20XS2630760796 · MAGYAR 6 1/2 06/29/281.69%200,000
21XS1788513734 · HAOHUA 5 1/8 03/14/281.66%200,000
22US715638FD94 · PERU 6.2 06/30/551.65%200,000
23XS2542162248 · PIFKSA 5 1/4 10/13/321.63%200,000
24USP3143NBR46 · CDEL 6.3 09/08/531.62%200,000
25US715638BM30 · PERU 5 5/8 11/18/501.56%200,000
26US168863EA21 · CHILE 5.33 01/05/541.52%200,000
27US718286CB15 · PHILIP 3.7 02/02/421.52%240,000
28US71568QAF46 · PLNIJ 6.15 05/21/481.51%200,000
29USG82016AS83 · SINOPE 2.3 01/08/311.50%200,000
30US30216KAF93 · EXIMBK 2 1/4 01/13/311.46%200,000
31USP1559LAA72 · BCONAL 2 1/2 08/11/301.45%200,000
32XS1120709826 · KAZAKS 4 7/8 10/14/441.45%200,000
33US71568QAB32 · PLNIJ 5 1/4 10/24/421.40%200,000
34USY68856AW66 · PETMK 4.8 04/21/601.38%200,000
35USY68856AV83 · PETMK 4.55 04/21/501.37%200,000
36US698299BL70 · PANAMA 3.87 07/23/601.36%250,000
37US455780CE46 · INDON 4.35 01/11/481.27%200,000
38US168863DW59 · CHILE 4 01/31/521.24%200,000
39US917288BK78 · URUGUA 4 3/8 01/23/311.24%150,000
40US455780CT15 · INDON 4.2 10/15/501.22%200,000
41US71568QAP28 · PLNIJ 4 06/30/501.09%200,000
42US715638AP79 · PERU 8 3/4 11/21/330.99%100,000
43USY20721AE96 · INDON 8 1/2 10/12/350.99%100,000
44XS2571924070 · ROMANI 7 5/8 01/17/530.88%100,000
45US698299AW45 · PANAMA 6.7 01/26/360.87%100,000
46US718286BD89 · PHILIP 6 3/8 01/15/320.87%100,000
47XS2908633683 · ROMANI 5 3/4 03/24/350.79%100,000
48US91086QAV05 · MEX 6.05 01/11/400.78%100,000
49US77586TAE64 · ROMANI 6 1/8 01/22/440.77%100,000
50US760942BG68 · URUGUA 5 1/4 09/10/600.73%100,000
51XS2201851685 · ROMANI 4 02/14/510.70%130,000
52US715638DT64 · PERU 3.55 03/10/510.56%100,000
53US715638DQ26 · PERU 2.78 12/01/600.43%100,000
54US715638DR09 · PERU 3.23 07/28/210.43%100,000
55US91086QBB32 · MEX 4 3/4 03/08/440.32%50,000
56US731011AV42 · POLAND 4 7/8 10/04/330.24%30,000
57US760942BE11 · URUGUA 5 3/4 10/28/340.17%20,000
58XS1837994794 · ROMANI 5 1/8 06/15/480.13%20,000
59C_NTD · C_NTD8,621,583

Holdings are based on the latest public portfolio disclosure available to ETF Info.

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How often are Taiwan ETF holdings updated?

Update frequency depends on each issuer’s disclosure schedule. The effective portfolio date is shown at the top of this page.

Why can disclosed weights differ from today’s market value?

Published weights describe a portfolio snapshot. Subsequent price movements, cash and portfolio trades can change current exposure.

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Portfolio weights come from the latest available public disclosure. They do not represent a live intraday portfolio and may not add to exactly 100% because of cash, derivatives, rounding or unclassified assets.