TAIWAN-LISTED ETF

Fubon Global Selective Income Bond Active ETF

00983DActive

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

10.12TWD+0.02

00983D holds 87 disclosed positions

Latest disclosed portfolio holdings and sector allocation.

Holdings date: Jul 29, 2026

Largest position7.40%
Top 10 concentration29.50%
Disclosed positions87
Sectors reported0

Sector allocation

No data is currently available.

Asset allocation

Other assets
81.23%
ETF
14.70%

Complete holdings

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

#SecurityIndustryWeightShares
1LQDWUS · ISHARESINVESTMENTGRADECORPO7.40%100,000
2TLTWUS · ISHARES20+YEARTREASURYBOND7.30%108,000
3US03523TBF49 · ABIBB8.201/15/391.98%510,000
4US172967EW71 · C81/807/15/391.97%510,000
5US260543BY86 · DOW9.405/15/391.95%480,000
6US406216AY74 · HAL7.4509/15/391.84%510,000
7USC07885AL76 · BHCCN1109/30/281.83%570,000
8USJ64264AG96 · RAKUTN111/402/15/271.82%560,000
9US8935268Z94 · TRPCN75/801/15/391.71%470,000
10USU42511AJ14 · GTN101/207/15/291.70%511,000
11US617446HD43 · MS71/404/01/321.65%470,000
12USU02400AC01 · AMCX101/207/15/321.62%500,000
13USU2541MAC48 · DTV87/802/01/301.60%500,000
14US87938WAC73 · TELEFONICAEMISIONESSAU7.04506/20/361.57%460,000
15US743263AE50 · DUK73/403/01/311.57%450,000
16US24703TAJ51 · DELL8.107/15/361.54%420,000
17USU44927BD96 · IEP1011/15/291.54%490,000
18USU17127AX63 · CYH107/801/15/321.50%450,000
19US717081CY74 · PFE7.203/15/391.45%400,000
20USU9220NAC57 · VENLNG91/202/01/291.42%420,000
21US24703TAK25 · DELL8.3507/15/461.41%370,000
22US111021AE12 · BRITEL95/812/15/301.37%370,000
23USU60731AB91 · MOHEGN117/804/15/311.37%400,000
24US054989AD07 · BATSLN7.08108/02/531.34%390,000
25US233835AQ08 · MBGGR81/201/18/311.33%370,000
26US06738ECE32 · BACR7.43711/02/331.29%370,000
27US86722TAB89 · SUCN6.8506/01/391.23%360,000
28USU2069EAB66 · CRWV902/01/311.22%440,000
29US37045VAL45 · GM63/404/01/461.19%370,000
30US67066GAU85 · NVDA5.5506/15/461.16%400,000
31US694308KH99 · PCG63/401/15/531.15%360,000
32US92344GAM87 · VZ73/412/01/301.15%330,000
33US29250NBZ78 · ENBCN6.711/15/531.13%340,000
34US10549PAG63 · BNCN73/803/01/331.13%320,000
35US694308KK29 · PCG6.704/01/531.12%350,000
36USU8531HAD27 · SPCX6.607/15/461.11%400,000
37US054989AC24 · BATSLN7.07908/02/431.09%320,000
38US404280DW61 · HSBC6.33203/09/441.07%330,000
39US494550AW68 · KMI6.9501/15/381.07%310,000
40US879385AD49 · TELEFO81/409/15/301.02%290,000
41US50076QAR74 · KHC67/801/26/391.01%300,000
42US04686JAL52 · ATH65/805/19/551.01%340,000
43US42824CAY57 · HPE6.3510/15/450.99%320,000
44US25156PAD50 · DT91/406/01/320.95%250,000
45USQ60976AD18 · MINAU91/410/01/280.89%273,000
46US91324PBK75 · UNITEDHEALTHGROUPINC6.87502/15/380.88%250,000
47US370425RZ53 · ALLY811/01/310.87%250,000
48US548661CP07 · LOW6.6509/15/370.85%250,000
49US720198AG56 · PDM91/407/20/280.85%250,000
50US36962G4B75 · GE67/801/10/390.85%240,000
51US13645RAD61 · CP71/810/15/310.83%240,000
52US68389XCK90 · ORCL6.911/09/520.83%300,000
53US641423BU11 · BRKHEC63/407/01/370.83%240,000
54US210385AE04 · CEG61/210/01/530.78%240,000
55US91913YAL48 · VLO65/806/15/370.75%220,000
56US674599DL68 · OXY6.603/15/460.74%230,000
57US58013MEF77 · MCD6.303/01/380.74%220,000
58US260543DH36 · DOW6.905/15/530.74%230,000
59US00817YAF51 · AET65/806/15/360.74%220,000
60US03040WAD74 · AWK6.59310/15/370.72%210,000
61US303901BR22 · FFHCN6.3503/22/540.70%230,000
62US682680BN20 · OKE65/809/01/530.70%220,000
63US20030NAV38 · CMCSA6.9508/15/370.67%200,000
64US852060AT99 · S83/403/15/320.66%180,000
65US209111EU37 · ED63/404/01/380.63%180,000
66US254687EZ57 · DIS73/412/01/450.61%160,000
67USU86043AJ26 · SABHLD103/411/15/290.60%200,000
68US36962GXZ26 · GE63/403/15/320.59%170,000
69US67077MAP32 · NTRCN71/805/23/360.56%160,000
70US06849RAC60 · ABXCN71/209/15/380.55%150,000
71US013716AQ81 · RIOLN71/403/15/310.52%150,000
72US88732JAN81 · TIMEWARNERCABLEINC7.30007/01/380.50%160,000
73US88732JAU25 · TIMEWARNERCABLEINC6.75006/15/390.48%160,000
74US37045VAK61 · GM6.604/01/360.40%120,000
75US68389XAE58 · ORCL61/204/15/380.39%130,000
76US38141GGM06 · GS61/402/01/410.33%100,000
77US832696AY47 · SJM61/211/15/430.20%60,000
78US832696AZ12 · SJM61/211/15/530.20%60,000
79US00206RAS13 · T6.5502/15/390.20%60,000
80US871829BN62 · SYY6.604/01/500.19%60,000
81US56585AAF93 · MPC61/203/01/410.17%50,000
82US87612GAD34 · TRGP61/202/15/530.16%50,000
83US29273RAR03 · ET61/202/01/420.16%50,000
84PFUR_NTD · PAYABLES FOR UNITS REDEEMED5,079,136
85C_EUR · CASH34,523
86C_NTD · CASH31,837,543
87C_USD · CASH6,572,371

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.