TAIWAN-LISTED ETF

Fubon 7-15 Years Europe USD Banking ETF

00846B

Public market and portfolio disclosure data. Latest market date: 2026-09-18.

34.85TWD0.00

00846B holds 71 disclosed positions

Latest disclosed portfolio holdings and sector allocation.

Holdings date: Sep 17, 2026

Largest position2.78%
Top 10 concentration22.50%
Disclosed positions71
Sectors reported0

Sector allocation

No data is currently available.

Asset allocation

Other assets
97.62%

Complete holdings

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

#SecurityIndustryWeightShares
1USH42097EQ69 · UBS6.30109/22/342.78%2,200,000
2US404280FG93 · HSBC5.13311/06/362.32%2,000,000
3US05581LAG41 · BNP5.89412/05/342.24%1,800,000
4XS3145651009 · STANLN5.408/12/362.23%1,900,000
5US53944YAX13 · LLOYDS5.67901/05/352.20%1,800,000
6US22536PAN15 · ACAFP5.86201/09/362.19%1,800,000
7USF1886DAB85 · BPCEGP6.02705/28/362.17%1,800,000
8US404280ES41 · HSBC5.4503/03/362.14%1,800,000
9US06738ECV56 · BACR5.33509/10/352.12%1,800,000
10US404280EC98 · HSBC7.39911/13/342.11%1,600,000
11US404280FM61 · HSBC5.27903/10/372.09%1,800,000
12USE2428RAC90 · CABKSM6.8409/13/342.07%1,600,000
13USF11494BZ77 · BPCEGP7.00310/19/342.06%1,600,000
14US404280EX36 · HSBC5.7905/13/362.01%1,650,000
15USF11494CJ27 · BPCEGP6.29301/14/361.97%1,600,000
16USH42097EU71 · UBS5.69902/08/351.95%1,600,000
17US404280EE54 · HSBC5.71903/04/351.95%1,600,000
18US09659X2W15 · BNP5.73802/20/351.95%1,600,000
19US404280EL97 · HSBC5.87411/18/351.94%1,600,000
20US06738ECZ60 · BACR5.78502/25/361.93%1,600,000
21US404280AH22 · HSBCHOLDINGSPLC6.50009/15/371.90%1,500,000
22US539439BE84 · LLOYDS6.06806/13/361.71%1,400,000
23US09660V2D44 · BNP5.90611/19/351.69%1,400,000
24US05964HAZ82 · SANTAN6.93811/07/331.59%1,200,000
25US456837BH52 · INTNED6.11409/11/341.51%1,200,000
26US22536PAU57 · ACAFP5.26101/12/371.50%1,300,000
27USG84228GH56 · STANLN5.90505/14/351.47%1,200,000
28US639057AN83 · NWG5.77803/01/351.47%1,200,000
29US456837BM48 · INTNED5.5503/19/351.45%1,200,000
30US539439BA62 · LLOYDS5.5911/26/351.45%1,200,000
31USE2428RAM72 · CABKSM5.58107/03/361.43%1,200,000
32US83368TCL08 · SOCGEN5.43910/03/361.39%1,200,000
33USH42097FL63 · UBS5.0103/23/371.38%1,200,000
34US404280DM89 · HSBC61/209/15/371.25%1,000,000
35US05964HBD61 · SANTAN6.3503/14/341.25%1,000,000
36US05946KAR23 · BBVASM6.03303/13/351.24%1,000,000
37USG84228GC69 · STANLN6.09701/11/351.24%1,000,000
38USE2428RAH87 · CABKSM6.03706/15/351.24%1,000,000
39USF2R125Q730 · ACAFP6.25101/10/351.23%1,000,000
40US83368TBX54 · SOCGEN6.06601/19/351.22%1,000,000
41USF11494CF05 · BPCEGP5.93605/30/351.21%1,000,000
42USH42097FD48 · UBS5.5805/09/361.20%1,000,000
43US456837BS18 · INTNED5.52503/25/361.20%1,000,000
44US404280FB07 · HSBC5.74109/10/361.19%1,000,000
45US63861WAN56 · NWIDE5.53707/14/361.19%1,000,000
46US456837BV47 · INTNED5.4203/23/371.18%1,000,000
47US06738EDN22 · BACR5.58606/26/371.18%1,000,000
48USE2428RAP04 · CABKSM5.40204/22/371.17%1,000,000
49US06738EDK82 · BACR5.20702/24/371.15%1,000,000
50US53944YBE23 · LLOYDS4.94311/04/361.15%1,000,000
51USB5341FAC52 · KBCBB6.32409/21/341.01%800,000
52USF11494CB90 · BPCEGP6.50801/18/350.99%800,000
53USG0R4HJAF38 · AIB5.87103/28/350.99%800,000
54US00084EAK47 · ABNANV5.51512/03/350.96%800,000
55US251526CY36 · DB5.40309/11/350.95%800,000
56USH42097FU62 · UBS5.19908/10/370.93%800,000
57XS3258536112 · STANLN5.24301/13/370.93%800,000
58US06738ECL74 · BACR6.69209/13/340.90%700,000
59US05946KAN19 · BBVASM7.88311/15/340.81%600,000
60US83368TCP12 · SOCGEN5.404/10/370.81%700,000
61XS2979655904 · STANLN6.22801/21/360.75%600,000
62US05964HBK05 · SANTAN6.03301/17/350.74%600,000
63US22535EAK38 · ACAFP5.36503/11/340.73%600,000
64USG6398ADG97 · NWIDE5.51907/14/370.71%600,000
65US80281LAY11 · SANUK5.13609/22/360.69%600,000
66US05946KAU51 · BBVASM5.12703/03/360.69%600,000
67US21688ABZ49 · RABOBK5.11906/09/360.59%500,000
68USF11494CS26 · BPCEGP5.77306/02/370.59%500,000
69C_EUR · CASH346,133
70C_NTD · CASH15,892,486
71C_USD · CASH13,734,845

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

Taiwan ETF holdings FAQ

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.

How to read this page

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.