TAIWAN-LISTED ETF

Fubon FTSE World Broad Investment-Grade USD Bank Bond 10+ Years Index ETF

00785B

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

34.77TWD+0.17

00785B holds 113 disclosed positions

Latest disclosed portfolio holdings and sector allocation.

Holdings date: Jul 29, 2026

Largest position4.82%
Top 10 concentration33.52%
Disclosed positions113
Sectors reported0

Sector allocation

No data is currently available.

Asset allocation

Other assets
98.06%

Complete holdings

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

#SecurityIndustryWeightShares
1US38141GFD16 · GS63/410/01/374.82%51,637,000
2US6174468N29 · MS5.59703/24/513.99%48,513,000
3US38141GGM06 · GS61/402/01/413.49%38,509,000
4US95000U2M49 · WFC5.01304/04/513.45%45,590,000
5US172967EW71 · C81/807/15/393.09%28,747,000
6US404280DW61 · HSBC6.33203/09/443.05%33,730,000
7US48126BAA17 · JPM5.401/06/423.00%35,413,000
8US617482V925 · MS63/807/24/422.90%31,616,000
9US949746RF01 · WFC5.60601/15/442.89%35,362,000
10US06051GFC87 · BAC501/21/442.84%35,605,000
11US46625HHF01 · JPM6.405/15/382.78%29,486,000
12US59023VAA89 · BAC73/405/14/382.76%26,996,000
13US59022CAJ27 · MERRILLLYNCH&CO6.11001/29/372.72%30,032,000
14US92976GAJ04 · WFC6.601/15/382.55%27,130,000
15US06051GEN51 · BAC57/802/07/422.33%26,267,000
16US94974BFP04 · WFC53/811/02/432.25%28,016,000
17US06738EAJ47 · BACR51/408/17/451.94%24,324,000
18US46625HHV50 · JPM51/210/15/401.92%22,112,000
19US38148LAF31 · GS5.1505/22/451.77%23,066,000
20US46625HJB78 · JPM5.607/15/411.68%19,275,000
21US404280AM17 · HSBC6.101/14/421.60%17,686,000
22US38141EC311 · GS4.807/08/441.57%20,892,000
23US46625HLL23 · JPM4.9506/01/451.48%19,060,000
24US902613AY48 · UBS47/805/15/451.44%18,800,000
25US06051GJA85 · BAC4.08303/20/511.39%20,860,000
26US92976GAG64 · WFC5.8502/01/371.37%15,377,000
27US38141GB862 · GS5.56111/19/451.35%16,500,000
28US38141GVS01 · GS43/410/21/451.26%17,046,000
29US172967FX46 · C57/801/30/421.17%13,312,000
30US21685WCJ45 · RABOBK51/405/24/411.13%13,380,000
31US61747YFV20 · MS5.51611/19/551.01%12,500,000
32US172967HS33 · C5.305/06/440.94%11,697,000
33US606822BB97 · MUFG4.28607/26/380.88%11,017,000
34US61747YGC30 · MS5.903/13/470.85%10,000,000
35US46647PAN69 · JPM3.89701/23/490.78%11,828,000
36US38141GXA74 · GS4.41104/23/390.77%10,003,000
37US172967MD09 · C4.6507/23/480.75%10,219,000
38US06050TJZ66 · BAC610/15/360.74%8,197,000
39US46647PAL04 · JPM3.96411/15/480.74%11,119,000
40US46625HJU59 · JPM4.8502/01/440.73%9,342,000
41US961214EY50 · WSTP3.13311/18/410.71%11,150,000
42US4042Q1AD94 · HSBC701/15/390.69%7,141,000
43US06051GHS12 · BAC4.3303/15/500.67%9,694,000
44US17327CAY93 · C5.61203/04/560.66%8,000,000
45US46647PCE43 · JPM3.32804/22/520.66%11,390,000
46US94974BGQ77 · WFC4.911/17/450.63%8,479,000
47US38145GAT76 · GS5.54101/21/470.61%7,500,000
48US46647PAK21 · JPM4.03207/24/480.60%8,996,000
49US539439AN92 · LLOYDS5.312/01/450.60%7,546,000
50US902674A263 · UBS41/206/26/480.58%8,000,000
51US316773CH12 · FITB81/403/01/380.58%5,494,000
52US46647PES11 · JPM5.53411/29/450.55%6,500,000
53US06738EAV74 · BACR4.9501/10/470.55%7,387,000
54US06051GFG91 · BAC47/804/01/440.54%6,808,000
55US606822BK96 · MUFG3.75107/18/390.54%7,364,000
56US61744YAR99 · MS4.45704/22/390.53%6,752,000
57US38141GC514 · GS5.73401/28/560.53%6,500,000
58US06051GHU67 · BAC4.07804/23/400.50%6,711,000
59US06738ECS28 · BACR6.03603/12/550.48%5,500,000
60US46625HJM34 · JPM55/808/16/430.47%5,497,000
61US53944YAE32 · LLOYDS4.34401/09/480.46%6,711,000
62US06051GFQ73 · BAC43/404/21/450.45%5,953,000
63US21684AAB26 · RABOBK53/412/01/430.43%5,106,000
64US172967MM08 · C5.31603/26/410.42%5,022,000
65US94974BGE48 · WFC4.6511/04/440.40%5,574,000
66US21684AAD81 · RABOBK51/408/04/450.37%4,696,000
67US06738EDE23 · BACR5.8608/11/460.34%4,000,000
68US95000U2Z51 · WFC4.61104/25/530.33%4,600,000
69US172967HA25 · C6.67509/13/430.30%3,209,000
70US06051GGG82 · BAC4.44301/20/480.29%4,013,000
71US06051GGM50 · BAC4.24404/24/380.28%3,609,000
72US46647PAA49 · JPM4.2602/22/480.26%3,727,000
73US606822BE37 · WFT97/802/15/240.26%3,369,000
74US172967LJ87 · C4.28104/24/480.25%3,603,000
75US172967KR13 · C43/405/18/460.24%3,377,000
76US06051GHA04 · BAC3.94601/23/490.24%3,638,000
77US95000U4F79 · WFC5.43301/23/470.24%3,000,000
78US75913MAA71 · RF6.4506/26/370.24%2,606,000
79US61747YDY86 · MS4.301/27/450.22%3,061,000
80US404280AQ21 · HSBC51/403/14/440.22%2,772,000
81US38141GZN77 · GS3.43602/24/430.21%3,210,000
82US06738EBW49 · BACR3.3311/24/420.21%3,220,000
83US172967NF48 · C2.90411/03/420.20%3,250,000
84US172967JU60 · C4.6507/30/450.18%2,397,000
85US61746BEG77 · MS43/801/22/470.14%1,991,000
86US94974BGU89 · WFC43/412/07/460.13%1,772,000
87US61772BAC72 · MS3.21704/22/420.11%1,700,000
88US6174468Y83 · MS2.80201/25/520.10%2,000,000
89US86562MCF59 · SUMIBK2.29601/12/410.10%1,660,000
90US94974BGK08 · WFC3.905/01/450.10%1,426,000
91US46647PAJ57 · JPM3.88207/24/380.07%862,000
92US06051GJW06 · BAC3.31104/22/420.06%950,000
93US94974BGT17 · WFC4.406/14/460.05%761,000
94US95000U2Q52 · WFC3.06804/30/410.04%580,000
95US06051GJN07 · BAC3.48303/13/520.04%650,000
96US86562MCK45 · SUMIBK2.9309/17/410.03%500,000
97US46647PCD69 · JPM3.15704/22/420.03%450,000
98US61744YAL20 · MS3.97107/22/380.02%260,000
99US172967LU33 · C3.87801/24/390.02%206,000
100US06051GJE08 · BAC2.67606/19/410.02%250,000
101US06051GJM24 · BAC2.83110/24/510.02%450,000
102US46647PBV76 · JPM2.52511/19/410.02%410,000
103US38141GYK48 · GS2.90807/21/420.02%250,000
104US38148YAA64 · GS4.01710/31/380.02%291,000
105US38141GYC22 · GS3.2104/22/420.01%100,000
106US46647PBN50 · JPM3.10904/22/510.01%195,000
107US06051GKB40 · BAC2.97207/21/520.01%250,000
108US46647PBM77 · JPM3.10904/22/410.00%41,000
109C_EUR · CASH57,055
110C_NTD · CASH597,563,359
111C_USD · CASH201,325,035
112RDI_USD · RECEIVABLES FOR DISPOSAL OF INVESTMENTS-3,953,231
113RP_NTD · RP50,398,138

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.