TAIWAN-LISTED ETF

Fuh Hwa Global Financial Bond Active ETF

00986DActive

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

14.77TWD+0.05
Trailing 12-month distribution yield1.22%
Distribution frequencyNo fixed schedule
Latest annual totalTWD 0.18
Completed-year average

LATEST DISTRIBUTION

TWD 0.09 per unit

Ex-dividend dateJul 21, 2026
Last purchase dateJul 20, 2026
Payment dateAug 14, 2026
StatusEx-dividend
54C dividend income 0.00%5A interest income 100.00%Income equalization reserve 0.00%Realized capital gains 0.00%Other income 0.00%

ETF dividend history

Historical distributions, ex-dividend dates and payment dates.

YearEx-dividend dateLast purchase datePayment dateDistribution per unitComposition
2026Jul 21, 2026Jul 20, 2026Aug 14, 2026TWD 0.09View details
2026Jun 17, 2026Jun 16, 2026Jul 13, 2026TWD 0.09View details

Annual distributions

YearTotal per unitPayments
2026TWD 0.182

Taiwan ETF distribution FAQ

What is the ex-dividend date?

The ex-dividend date is the first trading day on which a buyer is not entitled to the announced distribution. The last purchase date shown here follows the Taiwan trading calendar.

What are 54C and 5A?

They are Taiwan income-category codes used in distribution disclosures. Tax treatment depends on the investor and jurisdiction; this page reports disclosed composition and does not provide tax advice.

Does a high distribution yield mean a better return?

No. Distribution yield does not include all price changes and distributions can contain different income sources. Review total return, fees and portfolio composition together.

Distribution and tax note

Distribution composition reflects issuer disclosures under Taiwan classifications. Tax consequences vary by residency and account type. This information is not tax or investment advice.