淨值
績效
基本
持股
配息
(5837)PGIM保德信新興市場企業債券基金-累積型(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基金之配息來源可能為本金)
依持有類股(資料日期:2025/01/17)
依產業(資料日期:2024/12/31)
依區域(資料日期:2024/12/31)
持股明細(
資料日期:2024/12/31
)
持股名稱
比例
SABIC 4 1/2 10/10/28
1.51%
CKHH 7.45 11/24/33
1.47%
ENOIGA 5 7/8 03/30/31
1.47%
PERTIJ 5 5/8 05/20/43
1.45%
TIGO 6 1/4 03/25/29
1.37%
KZOKZ 6 3/8 10/24/48
1.19%
PKNPW 4 3/4 07/13/30
1.12%
BABA 4 12/06/37
1.10%
RABKAS 4.959 06/05/30
1.10%
MASQUH 7 7/8 02/24/33
1.09%
SUZANO 7 03/16/47
1.07%
ETINL 10 1/8 10/15/29
1.07%
OTPHB 8 3/4 05/15/33
1.06%
NEPSJ 3 3/8 07/14/27
1.06%
FMCN 8 5/8 06/01/31
1.06%
WESODA 9 3/8 02/14/31
1.05%
AICNRA 5 3/4 06/15/33
1.04%
SASOL 8 3/4 05/03/29
1.04%
CGRNEG 7 1/2 06/26/33
1.04%
ANTOLN 6 1/4 05/02/34
1.04%
MBTPM 5 3/8 03/06/29
1.04%
LTMCI 7 7/8 04/15/30
1.04%
BSMXB 5 3/8 04/17/25
1.03%
EQPTRC 5 05/18/25
1.03%
NEXA 6 1/2 01/18/28
1.03%
KRKPSC 6 3/8 06/11/29
1.03%
BHARTI 4 3/8 06/10/25
1.02%
SANLTD 5.4 08/08/28
1.02%
BOCAVI 3 1/4 04/29/25
1.02%
AYDEMT 7 3/4 02/02/27
1.02%
ENOGLN 6 1/2 04/30/27
1.02%
ADCBUH 4 1/2 09/14/27
1.02%
AXNTLC 7 3/8 02/16/27
1.02%
AALLN 5 1/2 05/02/33
1.02%
CORURI 10 02/10/27
1.02%
ROMANI 5 5/8 02/22/36
1.02%
CENSUD 5.95 05/28/31
1.02%
LNZAV 7.95 01/26/32
1.02%
DIBUH 2.95 01/16/26
1.01%
HIKLN 3 1/4 07/09/25
1.01%
BCP 3 1/8 07/01/30
1.01%
LIMAK 9 3/4 07/25/29
1.01%
ARAGVI 11 1/8 11/20/29
1.01%
EGUATE 5 7/8 05/03/27
1.00%
ECOPET 6 7/8 04/29/30
1.00%
FRIDPT 5.315 04/14/32
1.00%
EDVLN 5 10/14/26
1.00%
GASBCM 6.1027 08/23/42
1.00%
FIEMEX 7 1/4 01/31/41
1.00%
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