TAIWAN-LISTED ETF

NEXT FUNDS – Nomura 10+ Year Australia Government & Quasi-Government Bond ETF

00987B

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

16.23TWD+0.18

00987B holds 45 disclosed positions

Latest disclosed portfolio holdings and sector allocation.

Holdings date: Jul 29, 2026

Largest position10.76%
Top 10 concentration64.12%
Disclosed positions45
Sectors reported0

Sector allocation

No data is currently available.

Asset allocation

Other assets
99.68%

Complete holdings

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

#SecurityIndustryWeightShares
1AU0000407256 · ACGB 4 1/4 10/21/3610.76%5,622,000
2AU3TB0000192 · ACGB 3 3/4 04/21/379.61%5,280,000
3AU0000451593 · ACGB 4 3/4 10/21/379.50%4,785,000
4AU3SG0002710 · TCV 4 3/4 09/15/367.18%3,760,000
5AU0000300535 · ACGB 4 3/4 06/21/546.23%3,437,000
6AU3SG0002975 · NSWTC 4 3/4 02/20/374.69%2,455,000
7AU3SG0002868 · QTC 5 1/4 07/21/364.64%2,370,000
8AU3SG0002934 · TCV 5 1/4 09/15/384.13%2,121,000
9AU3SG0003155 · NSWTC 5 1/4 02/24/383.69%1,871,000
10AU0000018442 · ACGB 2 3/4 05/21/413.69%2,435,000
11AU000XCLWAP3 · ACGB 3 1/4 06/21/393.60%2,164,000
12AU000XCLWAS7 · ACGB 3 03/21/473.53%2,459,000
13AU0000XVGHH6 · TCV 5 11/20/403.43%1,870,000
14AU3SG0003163 · TCV 5 1/2 09/15/393.37%1,707,000
15AU3SG0003064 · QTC 5 07/21/372.95%1,556,000
16AU3SG0003270 · NSWTC 5 1/4 02/22/392.05%1,048,000
17AU0000097495 · ACGB 1 3/4 06/21/511.95%1,953,000
18AU3SG0003221 · QTC 5 1/4 08/13/381.84%940,000
19AU3SG0003387 · NSWTC 5 1/2 10/22/361.72%850,000
20AU3SG0001753 · NSWTC 3 1/2 11/20/371.71%1,032,000
21AU3SG0003262 · WATC 5 10/21/371.42%731,000
22AU3SG0002256 · TCV 2 11/20/371.35%974,000
23AU3SG0003379 · WATC 5 3/4 10/24/391.33%650,000
24AU3SG0002751 · SAFA 4 3/4 05/24/381.10%593,000
25AU3SG0003304 · TASCOR 5 1/2 01/16/370.61%310,000
26AU3SG0001647 · QTC 4.2 02/20/470.56%350,000
27AU3CB0304186 · HOUAUS 5.785 11/08/380.52%250,000
28AU3SG0002264 · TCV 2.4 08/18/500.41%380,000
29AU3SG0002298 · SAFA 2 1/4 05/24/400.27%200,000
30AU3SG0002165 · NSWTC 2 1/4 05/07/410.26%200,000
31AU3CB0271955 · TCV 2 1/4 11/20/410.25%200,000
32AU3CB0271989 · QTC 2 1/4 11/20/410.24%190,000
33AU3SG0003072 · TCV 5 1/4 09/15/440.22%120,000
34AU3SG0002223 · TCV 2 1/4 11/20/420.18%150,000
35AU3SG0002124 · QTC 2 1/4 04/16/400.17%130,000
36AU3SG0002249 · NSWTC 2 1/4 11/20/400.16%120,000
37AU3SG0002207 · WATC 2 1/4 07/23/410.10%80,000
38AU3SG0002215 · NSWTC 2 1/4 05/20/420.09%70,000
39AU0000XVGHL8 · TCV 4 11/06/470.09%60,000
40AU3SG0002272 · NSWTC 2.45 08/24/500.08%70,000
41B_NTD · BOND
42C_NTD · CASH5,652,212
43IR_NTD · INTEREST RECEIVABLE14,107,152
44PFUR_NTD · PAYABLES FOR UNITS REDEEMED-8,055,388
45RDI_NTD · RECEIVABLES FOR DISPOSAL OF INVESTMENTS6,608,353

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.