基金持股分佈(依持有類股)
資料日期:2025/04/11
基金持股分佈(依產業)
資料日期:2025/03/31
基金持股分佈(依區域)
資料日期:2025/03/31
復華15年期以上能源業債券ETF基金(基金之配息來源可能為收益平準金)-持股明細
資料月份:2025/03
股票名稱持股(千股)比例增減 股票名稱持股(千股)比例增減
XOM 4.327 03/19/50 N/A 1.85 -0.03% COP 4.3 11/15/44 N/A 0.75 0.01%
XOM 4.114 03/01/46 N/A 1.69 -0.04% ET 5.3 04/15/47 N/A 0.74 0.00%
COP 4.025 03/15/62 N/A 1.64 -0.06% ENBCN 5.95 04/05/54 N/A 0.73 0.00%
XOM 3.452 04/15/51 N/A 1.62 0.01% BPLN 3.001 03/17/52 N/A 0.72 -0.01%
HAL 5 11/15/45 N/A 1.51 0.01% EPD 3.7 01/31/51 N/A 0.72 0.00%
OKE 6 5/8 09/01/53 N/A 1.51 -0.05% TRPCN 6.1 06/01/40 N/A 0.70 0.01%
TTEFP 5.488 04/05/54 N/A 1.43 0.01% TTEFP 3.461 07/12/49 N/A 0.70 0.00%
PSX 4 7/8 11/15/44 N/A 1.36 0.00% EPD 5.95 02/01/41 N/A 0.70 0.01%
BPLN 3.379 02/08/61 N/A 1.27 0.01% KMI 5.2 03/01/48 N/A 0.70 -0.02%
ET 5.4 10/01/47 N/A 1.23 -0.01% WMB 5.1 09/15/45 N/A 0.68 -0.02%
OKE 5.7 11/01/54 N/A 1.22 0.00% RDSALN 3 3/4 09/12/46 N/A 0.68 -0.01%
ET 5.95 05/15/54 N/A 1.20 -0.02% ET 6 1/2 02/01/42 N/A 0.67 -0.01%
BPLN 2.939 06/04/51 N/A 1.18 0.00% XOM 3.567 03/06/45 N/A 0.67 -0.01%
MPC 6 1/2 03/01/41 N/A 1.17 -0.05% WMB 4.85 03/01/48 N/A 0.67 -0.01%
BPLN 3 02/24/50 N/A 1.16 0.00% OKE 5.2 07/15/48 N/A 0.67 0.00%
ET 6 1/4 04/15/49 N/A 1.15 -0.01% COP 5.55 03/15/54 N/A 0.66 -0.01%
HES 5.6 02/15/41 N/A 1.14 0.02% EOG 4.95 04/15/50 N/A 0.66 0.00%
ENBCN 6.7 11/15/53 N/A 1.14 0.00% KMI 5.45 08/01/52 N/A 0.66 0.00%
MPLX 4.7 04/15/48 N/A 1.12 0.00% DVN 5.6 07/15/41 N/A 0.64 0.00%
ET 6.05 09/01/54 N/A 1.10 -0.04% CVX 3.078 05/11/50 N/A 0.64 0.01%
EPD 5.55 02/16/55 N/A 1.10 0.00% TRGP 6 1/2 02/15/53 N/A 0.64 -0.01%
EPD 4 1/4 02/15/48 N/A 1.09 0.00% EPD 3.95 01/31/60 N/A 0.64 0.00%
KMI 5.55 06/01/45 N/A 1.08 0.00% RDSALN 3 11/26/51 N/A 0.64 0.00%
ET 5 05/15/50 N/A 1.06 -0.01% BHI 5 1/8 09/15/40 N/A 0.63 -0.01%
PSX 5 7/8 05/01/42 N/A 1.05 0.01% ENBCN 5 1/2 12/01/46 N/A 0.63 0.01%
EPD 4.8 02/01/49 N/A 1.00 0.01% DVN 5 06/15/45 N/A 0.63 0.00%
RDSALN 4 05/10/46 N/A 1.00 0.00% KMI 5 1/2 03/01/44 N/A 0.63 -0.02%
TTEFP 3.386 06/29/60 N/A 0.99 0.00% CNQCN 4.95 06/01/47 N/A 0.62 0.00%
FANG 5 3/4 04/18/54 N/A 0.99 -0.01% TRGP 4.95 04/15/52 N/A 0.62 0.00%
BHI 4.08 12/15/47 N/A 0.98 -0.01% BRKHEC 5.65 10/15/54 N/A 0.61 0.00%
RDSALN 4.55 08/12/43 N/A 0.97 0.01% EPD 4.85 08/15/42 N/A 0.61 0.00%
TTEFP 5.425 09/10/64 N/A 0.97 -0.02% KMI 5.95 08/01/54 N/A 0.61 0.00%
EPD 5.1 02/15/45 N/A 0.96 0.01% SUCN 4 11/15/47 N/A 0.59 0.00%
MPLX 5 1/2 02/15/49 N/A 0.94 0.00% OKE 3.95 03/01/50 N/A 0.59 -0.03%
XOM 3.095 08/16/49 N/A 0.94 0.00% DVN 4 3/4 05/15/42 N/A 0.58 0.00%
KMI 3.6 02/15/51 N/A 0.94 0.00% WDSAU 5.7 09/12/54 N/A 0.58 -0.02%
ET 6 1/8 12/15/45 N/A 0.92 -0.01% VLO 3.65 12/01/51 N/A 0.58 -0.01%
ET 6.2 04/01/55 N/A 0.92 N/A ENBCN 3.4 08/01/51 N/A 0.58 0.00%
RDSALN 3 1/4 04/06/50 N/A 0.91 0.01% CVECN 3 3/4 02/15/52 N/A 0.57 0.00%
ET 6 06/15/48 N/A 0.91 0.00% EPD 3.3 02/15/53 N/A 0.57 0.00%
TTEFP 3.127 05/29/50 N/A 0.90 0.00% EPD 4.9 05/15/46 N/A 0.53 0.00%
EPD 4.2 01/31/50 N/A 0.90 -0.01% WMB 5.8 11/15/54 N/A 0.52 0.00%
OXY 6.6 03/15/46 N/A 0.88 -0.04% CVX 2.343 08/12/50 N/A 0.51 0.01%
EPD 4.85 03/15/44 N/A 0.88 -0.02% WMB 6.3 04/15/40 N/A 0.51 0.01%
KMI 5.05 02/15/46 N/A 0.87 0.00% MPLX 5.95 04/01/55 N/A 0.50 N/A
MPLX 4.95 03/14/52 N/A 0.86 -0.03% FANG 4 1/4 03/15/52 N/A 0.49 -0.02%
ET 5.35 05/15/45 N/A 0.85 0.00% TRPCN 5.1 03/15/49 N/A 0.48 0.00%
MPC 4 3/4 09/15/44 N/A 0.83 -0.02% BPLN 3.06 06/17/41 N/A 0.48 0.00%
COP 5.3 05/15/53 N/A 0.83 0.00% WMB 5.3 08/15/52 N/A 0.47 0.00%
TTEFP 5.275 09/10/54 N/A 0.83 -0.02% EPD 4.45 02/15/43 N/A 0.45 0.01%
TRGP 6 1/8 05/15/55 N/A 0.82 N/A ET 5.15 03/15/45 N/A 0.45 -0.02%
TTEFP 5.638 04/05/64 N/A 0.82 0.01% WES 5 1/4 02/01/50 N/A 0.44 -0.01%
RDSALN 3 1/8 11/07/49 N/A 0.80 0.00% EPD 3.2 02/15/52 N/A 0.41 0.00%
OXY 6.05 10/01/54 N/A 0.80 -0.01% OKE 5.85 11/01/64 N/A 0.40 0.00%
MPLX 5.2 03/01/47 N/A 0.80 -0.02% TTEFP 2.986 06/29/41 N/A 0.38 0.01%
FANG 5.9 04/18/64 N/A 0.79 -0.01% PSX 3.3 03/15/52 N/A 0.36 -0.01%
BPLN 2.772 11/10/50 N/A 0.79 0.00% SUCN 3 3/4 03/04/51 N/A 0.35 -0.01%
NOV 3.95 12/01/42 N/A 0.77 -0.01% EOG 5.65 12/01/54 N/A 0.34 0.00%
RDSALN 4 3/8 05/11/45 N/A 0.77 0.54% COP 3.758 03/15/42 N/A 0.21 -0.01%
COP 3.8 03/15/52 N/A 0.76 -0.02% COP 5 1/2 01/15/55 N/A 0.20 0.00%
HAL 4 3/4 08/01/43 N/A 0.76 0.00% CTRA 5.9 02/15/55 N/A 0.20 0.00%
DVN 5 3/4 09/15/54 N/A 0.75 -0.03%        
(1)股票型及平衡型基金自91年7月份起放寬為每月公布基金持股前五大個股名稱,及合計占基金淨資產價值之比例;每季(3、6、9、12月)公布基金投資個股內容及比例。
(2)國內募集投資國外之股票型基金,放寬為每季公布基金持股前五大個股名稱,及合計占基金淨資產價值之比例;每半年公布基金投資個股內容及比例。