(0720)宏利亞洲收益成長多重資產基金-B月配息(台幣)(本基金有相當比重投資於非投資等級之高風險債券且配息來源可能為本金)
依持有類股(資料日期:2024/10/11)
依產業(資料日期:2024/08/31)
依區域(資料日期:2024/08/31)
持股明細(資料日期:2024/09/30)
持股名稱比例
台積電3.24%
GLOPM 2 1/2 07/23/303.14%
BMRIIJ 2 04/19/262.96%
BABA 2.7 02/09/412.93%
LENOVO 6.536 07/27/322.92%
PHILIP 5.95 10/13/472.79%
MALAYS 2.07 04/28/312.74%
HKINTL 2 3/8 02/02/512.72%
PERTIJ 2.3 02/09/312.70%
TBIGIJ 4 1/4 01/21/252.65%
(Perp/V)GEELY 4 PERP2.64%
VENAEN 3.133 02/26/252.46%
SUNHUN 2 3/4 05/13/302.42%
TAISEM 2 1/4 04/23/312.33%
CKHH 7.45 11/24/332.11%
ICICI BANK-ADR2.11%
PINGIN 2.95 02/25/311.95%
PGEOIJ 5.15 04/27/281.89%
KNBZMK 4.687 06/01/281.79%
INDOIS 4.45 02/20/291.79%
INRCIN 3.835 12/13/271.74%
INDON 3.85 10/15/301.73%
ZHONAN 3 1/8 07/16/251.73%
HYUCAP 2 1/2 01/24/271.70%
NHNCOR 1 1/2 03/29/261.69%
KIAMTR 1 3/4 10/16/261.68%
(Perp/V)HKAA 2.4 PERP1.66%
CONAMP 2 5/8 09/17/301.60%
CHIOLI 2 3/4 03/02/301.58%
MTRC 1 5/8 08/19/301.56%
HYUELE 2 3/8 01/19/311.53%
Samsung Electron1.53%
Tencent1.46%
AIA 3.2 09/16/401.39%
CONTEMPORARY A-A1.27%
BANK MANDIRI1.17%
NARI TECHNOLOG-A1.08%
Kalbe Farma1.01%