TAIWAN-LISTED ETF

Yuanta US 15+ Year Emerging Markets Sovereign Bond ETF

00870B

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

27.12TWD0.00
Latest closeTWD 27.12
Daily change0.00%
Assets under managementTWD 15.3B
Trailing 12-month distribution yield5.46%
NAVTWD 27.3158
Premium / discount-0.02%
Beneficiaries313View weekly and four-week trends →
Holdings dateSep 17, 2026

Period-1.59 (-5.54%)

Fund profile

IssuerYuanta Securities Investment Trust
Listing dateJan 9, 2020
Management fee
Custody fee
Total expense ratio
Beneficiaries313
NAVTWD 27.3158
Premium / discount-0.02%

Latest distribution

TWD 0.38

Ex-dividend date: Jul 21, 2026

Payment date: Aug 10, 2026

Full distribution history

Sector allocation

No data is currently available.

Top 10 holdings

SecurityPortfolio weight
EI4660938 · REPUBLIC OF PERU 5.625 11/18/20504.32%
AS1975802 · STATE OF QATAR 5.103 04/23/20483.34%
AP4164574 · ABU DHABI GOVT INT`L 4.125 10/11/20473.26%
ZM2329831 · HUNGARY 6.75 09/25/20523.26%
AX5423154 · STATE OF QATAR 4.817 03/14/20493.10%
AS1609492 · SAUDI INTERNATIONAL BOND 5 04/17/20492.95%
ZL8935831 · REPUBLIC OF POLAND 5.5 04/04/20532.55%
AF2793459 · REPUBLIC OF KAZAKHSTAN 6.5 07/21/20452.40%
ZD6402295 · REPUBLIC OF POLAND 5.5 03/18/20542.39%
BU7141734 · REPUBLIC OF CHILE 4.34 03/07/20422.34%
View holdings

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Taiwan ETF overview FAQ

What information is available on a Taiwan ETF overview page?

The page combines price and premium history, fund size, beneficial owners, fees, distributions, leading holdings and sector allocation from public Taiwan market disclosures.

What does a portfolio weight mean?

A portfolio weight is the percentage of the ETF allocated to a security. Larger positions generally have a greater influence on the ETF’s net asset value.

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Data note

Prices, portfolio holdings, fund statistics and distributions may have different effective dates. Data is for research and reference only and is not investment advice.