最後更新

成分股列表

國泰A級公司債(00761B) 成分股。透過此分析ETF所持有的個股有哪些,並可進一步分析個股的合理價與價值區間。

排名名稱比例其他持股的ETF
1ANHEUSER-BUSCH 1.47%
2PFIZER INVESTME0.99%
3ANHEUSER-BUSCH 0.82%
4ABBVIE INC 4.250.77%
5MICROSOFT CORP 0.72%
6ANHEUSER-BUSCH 0.7%
7APPLE INC 4.65-0.66%
8PFIZER INVESTME0.66%
9MICROSOFT CORP 0.62%
10COMCAST CORP 2.0.59%
11ABBVIE INC 5.4-0.57%
12HOME DEPOT INC 0.56%
13PFIZER INC 7.2-0.56%
14SHELL INTERNATI0.54%
15ABBVIE INC 4.050.54%
16ASTRAZENECA PLC0.53%
17GLAXOSMITHKLINE0.52%
18BRISTOL-MYERS S0.52%
19ABBOTT LABORATO0.52%
20VISA INC 4.3-200.52%
21META PLATFORMS 0.52%
22COMCAST CORP 2.0.51%
23AMAZON.COM INC 0.5%
24JPMORGAN CHASE 0.49%
25UNITEDHEALTH GR0.49%
26BRISTOL-MYERS S0.48%
27GOLDMAN SACHS G0.47%
28PFIZER INVESTME0.46%
29META PLATFORMS 0.46%
30SHELL INTERNATI0.43%
31EXXON MOBIL COR0.43%
32CITIGROUP INC 80.43%
33META PLATFORMS 0.43%
34IBM CORP 4.25-20.42%
35APPLE INC 3.85-0.42%
36BHP BILLITON FI0.41%
37MORGAN STANLEY 0.41%
38ABBVIE INC 4.7-0.41%
39AMAZON.COM INC 0.4%
40AMERICA MOVIL S0.39%
41ABBVIE INC 4.5-0.39%
42COMCAST CORP 2.0.38%
43ANHEUSER-BUSCH 0.38%
44ABBVIE INC 4.4-0.38%
45AMAZON.COM INC 0.37%
46META PLATFORMS 0.37%
47MICROSOFT CORP 0.36%
48BERKSHIRE HATHA0.36%
49UNITEDHEALTH GR0.36%
50ANHEUSER-BUSCH 0.36%
51WYETH LLC 5.95-0.35%
52CISCO SYSTEMS I0.35%
53EXXON MOBIL COR0.35%
54CISCO SYSTEMS I0.35%
55CITIGROUP INC 40.34%
56WALT DISNEY COM0.34%
57AMAZON.COM INC 0.34%
58MORGAN STANLEY 0.34%
59BERKSHIRE HATHA0.34%
60ANHEUSER-BUSCH 0.34%
61UNITEDHEALTH GR0.34%
62AMAZON.COM INC 0.33%
63EXXON MOBIL COR0.33%
64CISCO SYSTEMS I0.33%
65MORGAN STANLEY 0.32%
66APPLE INC 4.3750.32%
67COMCAST CORP 4.0.32%
68UNITEDHEALTH GR0.32%
69META PLATFORMS 0.32%
70EXXON MOBIL COR0.31%
71UNITEDHEALTH GR0.31%
72CONOCOPHILLIPS 0.31%
73BERKSHIRE HATHA0.31%
74BRISTOL-MYERS S0.31%
75ABBVIE INC 5.5-0.31%
76SHELL INTERNATI0.3%
77APPLE INC 2.65-0.3%
78UNITEDHEALTH GR0.3%
79BANK OF AMERICA0.3%
80MEDTRONIC INC 40.3%
81JPMORGAN CHASE 0.3%
82BERKSHIRE HATHA0.3%
83UNITED PARCEL S0.3%
84HONEYWELL INTER0.3%
85TOTALENERGIES C0.3%
86NOVARTIS CAPITA0.29%
87IBM CORP 4.15-20.29%
88BRISTOL-MYERS S0.29%
89MEDTRONIC INC 40.29%
90WALT DISNEY COM0.29%
91COMCAST CORP 5.0.29%
92UBS GROUP AG 4.0.29%
93ABBVIE INC 4.870.29%
94ABBVIE INC 4.550.29%
95UNITEDHEALTH GR0.29%
96TOTAL CAPITAL I0.28%
97APPLE INC 3.85-0.28%
98UNITEDHEALTH GR0.28%
99PHILIP MORRIS I0.28%
100BANK OF AMERICA0.28%
101AMAZON.COM INC 0.28%
102UNITEDHEALTH GR0.28%
103MERCK & CO INC 0.28%
104BURLINGTN NORTH0.28%
105HOME DEPOT INC 0.28%
106COCA-COLA CO/TH0.28%
107JOHNSON & JOHNS0.27%
108ABBOTT LABORATO0.27%
109COMCAST CORP 3.0.27%
110GOLDMAN SACHS G0.27%
111ABBVIE INC 4.450.27%
112MERCK & CO INC 0.26%
113APPLE INC 3.45-0.26%
114COMCAST CORP 3.0.26%
115MICROSOFT CORP 0.26%
116COOPERATIEVE RA0.26%
117NVIDIA CORP 3.50.26%
118MICROSOFT CORP 0.26%
119WALT DISNEY COM0.26%
120INTERCONTINENTA0.26%
121TEXAS INSTRUMEN0.26%
122COMCAST CORP 5.0.26%
123BRISTOL-MYERS S0.26%
124BRISTOL-MYERS S0.26%
125ELI LILLY & CO 0.26%
126APPLE INC 2.65-0.25%
127WELLS FARGO & C0.25%
128WALMART INC 5.20.25%
129MORGAN STANLEY 0.25%
130KENVUE INC 5.050.25%
131ELI LILLY & CO 0.25%
132UNITEDHEALTH GR0.25%
133ALPHABET INC 2.0.24%
134APPLE INC 3.95-0.24%
135CATERPILLAR INC0.24%
136UNION PACIFIC C0.24%
137VISA INC 4.15-20.24%
138UNITEDHEALTH GR0.24%
139QUALCOMM INC 6.0.24%
140AMAZON.COM INC 0.24%
141APPLE INC 4.85-0.24%
142ENTERPRISE PROD0.24%
143PACIFICORP 5.8-0.24%
144BLACKROCK FUNDI0.24%
145COMCAST CORP 5.0.24%
146COCA-COLA CO/TH0.24%
147BP CAP MARKETS 0.23%
148KAISER FOUNDATI0.23%
149SHELL INTERNATI0.23%
150GOLDMAN SACHS G0.23%
151AMAZON.COM INC 0.23%
152WALMART INC 4.00.23%
153QUALCOMM INC 4.0.23%
154HOME DEPOT INC 0.23%
155SOUTHERN CAL ED0.23%
156MICROSOFT CORP 0.23%
157MICROSOFT CORP 0.23%
158WALMART INC 6.50.23%
159APPLE INC 4.5-20.23%
160WALMART INC 4.50.23%
161HONEYWELL INTER0.23%
162BP CAP MARKETS 0.22%
163BP CAP MARKETS 0.22%
164BRISTOL-MYERS S0.22%
165AMAZON.COM INC 0.22%
166WALT DISNEY COM0.22%
167UNITEDHEALTH GR0.22%
168HOME DEPOT INC 0.22%
169LOCKHEED MARTIN0.22%
170COMCAST CORP 3.0.22%
171CHUBB INA HOLDI0.22%
172UNITED PARCEL S0.22%
173JOHNSON & JOHNS0.22%
174ANHEUSER-BUSCH 0.22%
175ANHEUSER-BUSCH 0.22%
176INTUIT INC 5.5-0.22%
177IBM INTERNAT CA0.22%
178COCA-COLA CO/TH0.22%
179BURLINGTN NORTH0.22%
180ENTERPRISE PROD0.22%
181SHELL INTERNATI0.21%
182JOHNSON & JOHNS0.21%
183SALESFORCE.COM 0.21%
184QUALCOMM INC 4.0.21%
185TEXAS INSTRUMEN0.21%
186COMCAST CORP 3.0.21%
187UNION PACIFIC C0.21%
188JPMORGAN CHASE 0.21%
189JPMORGAN CHASE 0.21%
190META PLATFORMS 0.21%
191HOME DEPOT INC 0.21%
192KLA CORP 4.95-20.21%
193MICROSOFT CORP 0.21%
194ANHEUSER-BUSCH 0.21%
195UNITED AIR 20230.21%
196TOTALENERGIES C0.21%
197BLACKROCK FUNDI0.21%
198RIO TINTO FIN U0.2%
199SHELL INTERNATI0.2%
200SHELL INTERNATI0.2%
201WALT DISNEY COM0.2%
202MERCK & CO INC 0.2%
203MERCK & CO INC 0.2%
204LOCKHEED MARTIN0.2%
205MASTERCARD INC 0.2%
206AMAZON.COM INC 0.2%
207APPLE INC 4.1-20.2%
208LOCKHEED MARTIN0.2%
209CONOCOPHILLIPS 0.2%
210MERCK & CO INC 0.2%
211CONOCOPHILLIPS 0.2%
212ENTERPRISE PROD0.2%
213BP CAP MARKETS 0.2%
214ELI LILLY & CO 0.2%
215COCA-COLA CO/TH0.19%
216UNITEDHEALTH GR0.19%
217HOME DEPOT INC 0.19%
218MERCK & CO INC 0.19%
219ALPHABET INC 2.0.19%
220PRUDENTIAL FINA0.19%
221MARSH & MCLENNA0.19%
222BAKER HUGHES A 0.19%
223COMCAST CORP 4.0.19%
224INTERCONTINENTA0.19%
225ELI LILLY & CO 0.19%
226ENTERPRISE PROD0.19%
227UNITED PARCEL S0.19%
228CON EDISON CO O0.19%
229MITSUBISHI UFJ 0.18%
230PACIFICORP 5.350.18%
231CONOCOPHILLIPS 0.18%
232APPLE INC 2.7-20.18%
233NIKE INC 3.375-0.18%
234WALT DISNEY COM0.18%
235LOCKHEED MARTIN0.18%
236BRISTOL-MYERS S0.18%
237APPLE INC 2.8-20.18%
238HOME DEPOT INC 0.18%
239DUKE ENERGY FLO0.18%
240INTERCONTINENTA0.18%
241METLIFE INC 5.70.18%
242CITIGROUP INC 50.18%
243AMAZON.COM INC 0.18%
244APPLE INC 4.45-0.18%
245PFIZER INC 4.4-0.18%
246ANHEUSER-BUSCH 0.18%
247PACIFICORP 5.5-0.18%
248ABBVIE INC 4.850.18%
249UNITEDHEALTH GR0.18%
250NOVARTIS CAPITA0.17%
251BP CAP MARKETS 0.17%
252DEERE & COMPANY0.17%
253AMAZON.COM INC 0.17%
254BERKSHIRE HATHA0.17%
255PFIZER INC 4.120.17%
256BRISTOL-MYERS S0.17%
257PFIZER INC 4.0-0.17%
258APPLE INC 2.95-0.17%
259APPLE INC 3.75-0.17%
260BAKER HUGHES LL0.17%
261COMCAST CORP 3.0.17%
262UNITEDHEALTH GR0.17%
263COMCAST CORP 3.0.17%
264SOUTHERN CAL ED0.17%
265TARGET CORP 4.80.17%
266PHILIP MORRIS I0.17%
267PAYPAL HOLDINGS0.17%
268APPLE INC 4.25-0.17%
269UNITED PARCEL S0.17%
270RIO TINTO FIN U0.17%
271ENTERPRISE PROD0.17%
272MIDAMERICAN ENE0.17%
273MARSH & MCLENNA0.17%
274ENTERPRISE PROD0.17%
275ENTERPRISE PROD0.17%
276ASCENSION HEALT0.16%
277UNITEDHEALTH GR0.16%
278APPLE INC 2.55-0.16%
279AMERICA MOVIL S0.16%
280COMCAST CORP 3.0.16%
281HOME DEPOT INC 0.16%
282HOME DEPOT INC 0.16%
283UNITEDHEALTH GR0.16%
284UNITEDHEALTH GR0.16%
285UNITEDHEALTH GR0.16%
286UNITEDHEALTH GR0.16%
287HOME DEPOT INC 0.16%
288METLIFE INC 5.20.16%
289ENTERPRISE PROD0.16%
290ANHEUSER-BUSCH 0.16%
2913M COMPANY 4.0-0.16%
292CISCO SYSTEMS I0.16%
293CUMMINS INC 5.40.16%
294KAISER FOUNDATI0.15%
295KAISER FOUNDATI0.15%
296WW GRAINGER INC0.15%
297IBM CORP 4.0-200.15%
298TSMC ARIZONA CO0.15%
299BURLINGTN NORTH0.15%
300COMCAST CORP 2.0.15%
301EXXON MOBIL COR0.15%
302BRISTOL-MYERS S0.15%
303COCA-COLA CO/TH0.15%
304AMERICA MOVIL S0.15%
305QUALCOMM INC 4.0.15%
306METLIFE INC 5.00.15%
307UNITEDHEALTH GR0.15%
308TARGET CORP 4.00.15%
309BERKSHIRE HATHA0.15%
310HOME DEPOT INC 0.15%
311INTERCONTINENTA0.15%
312METLIFE INC 4.80.15%
313WALMART INC 4.50.15%
314UNION PACIFIC C0.15%
315PFIZER INC 4.0-0.15%
316APPLE INC 2.85-0.15%
317ELI LILLY & CO 0.15%
318IBM INTERNAT CA0.15%
319GEORGIA POWER C0.15%
320BHP BILLITON FI0.14%
321BP CAP MARKETS 0.14%
322SHELL INTERNATI0.14%
323BURLINGTN NORTH0.14%
324ALIBABA GROUP H0.14%
325APPLE INC 2.3750.14%
326VISA INC 2.0-200.14%
327COCA-COLA CO/TH0.14%
328MERCK & CO INC 0.14%
329CATERPILLAR INC0.14%
330JOHNSON & JOHNS0.14%
331ASTRAZENECA PLC0.14%
332ILLINOIS TOOL W0.14%
333QUALCOMM INC 4.0.14%
334HOME DEPOT INC 0.14%
335HOME DEPOT INC 0.14%
336PFIZER INC 4.2-0.14%
337MERCK & CO INC 0.14%
338ASTRAZENECA PLC0.14%
339WALT DISNEY COM0.14%
340APPLIED MATERIA0.14%
341SOUTHERN CAL ED0.14%
342APPLE INC 3.75-0.14%
343UNION PACIFIC C0.14%
344AMERICAN EXPRES0.14%
345JOHNSON & JOHNS0.14%
346THERMO FISHER S0.14%
347SIMON PROPERTY 0.14%
348EATON CORP 4.150.14%
349MICROSOFT CORP 0.14%
350BP CAP MARKETS 0.13%
351NOVARTIS CAPITA0.13%
352FLORIDA POWER &0.13%
353FLORIDA POWER L0.13%
354TSMC ARIZONA CO0.13%
355SHELL INTERNATI0.13%
356RIO TINTO FIN U0.13%
357WALMART INC 2.60.13%
358BERKSHIRE HATHA0.13%
359SALESFORCE.COM 0.13%
360NIKE INC 3.875-0.13%
361HOME DEPOT INC 0.13%
362PRUDENTIAL FINA0.13%
363JOHNSON & JOHNS0.13%
364CITIGROUP INC 40.13%
365LOCKHEED MARTIN0.13%
366METLIFE INC 4.00.13%
367COMCAST CORP 4.0.13%
368COMCAST CORP 3.0.13%
369COMCAST CORP 4.0.13%
370NIKE INC 3.25-20.13%
371NVIDIA CORP 3.50.13%
372MASTERCARD INC 0.13%
373PRUDENTIAL FINA0.13%
374SALESFORCE.COM 0.13%
375ANHEUSER-BUSCH 0.13%
376TOTAL CAPITAL I0.12%
377KAISER FOUNDATI0.12%
378TSMC ARIZONA CO0.12%
379BURLINGTN NORTH0.12%
380JPMORGAN CHASE 0.12%
381INTERCONTINENTA0.12%
382COMCAST CORP 2.0.12%
383INTERCONTINENTA0.12%
384BRISTOL-MYERS S0.12%
385EXXON MOBIL COR0.12%
386UNION PACIFIC C0.12%
387CATERPILLAR INC0.12%
388HOME DEPOT INC 0.12%
389VISA INC 2.7-200.12%
390UNION PACIFIC C0.12%
391ANHEUSER-BUSCH 0.12%
392ENTERPRISE PROD0.12%
393ABBVIE INC 4.3-0.12%
394CON EDISON CO O0.11%
395BRISTOL-MYERS S0.11%
396UNITEDHEALTH GR0.11%
397PFIZER INC 2.7-0.11%
398ALPHABET INC 1.0.11%
399JOHNSON & JOHNS0.11%
400CHEVRON CORP 3.0.11%
401PEPSICO INC 2.80.11%
402PAYPAL HOLDINGS0.11%
403TARGET CORP 2.90.11%
404ANALOG DEVICES 0.11%
405ENTERPRISE PROD0.11%
4063M COMPANY 3.250.11%
407PACIFICORP 2.9-0.1%
408MERCK & CO INC 0.1%
409ELI LILLY & CO 0.1%
410COCA-COLA CO/TH0.1%
411PEPSICO INC 2.70.1%
412UNION PACIFIC C0.1%
413COCA-COLA CO/TH0.1%
414CHUBB INA HOLDI0.1%
415DANAHER CORP 2.0.1%
416DANAHER CORP 2.0.1%
417ALIBABA GROUP H0.09%
418ALIBABA GROUP H0.09%
419UNITED PARCEL S0.09%
420CONOCOPHILLIPS 0.09%
421APPLE INC 2.4-20.09%
422HOME DEPOT INC 0.09%
423UNITEDHEALTH GR0.09%
424PFIZER INC 2.550.09%
425COMCAST CORP 2.0.09%
426JOHNSON & JOHNS0.09%
427UNITEDHEALTH GR0.09%
428JOHNSON & JOHNS0.09%
429EMERSON ELECTRI0.09%
430SHELL INTERNATI0.08%
431ALIBABA GROUP H0.08%
432WALMART INC 2.50.08%
433MERCK & CO INC 0.08%
434ENTERPRISE PROD0.08%
435ENTERPRISE PROD0.08%
436ALIBABA GROUP H0.07%
437HOME DEPOT INC 0.07%
438ALIBABA GROUP H0.06%

常見問題

投資ETF常見的問題。

1. 國泰A級公司債(00761B)可以買嗎?
目前大盤大盤領先指標循環為佳的條件下,買進國泰A級公司債(00761B)持有一季的平均年化報酬率為2.7%,在184檔ETF中排名第123,排名位於中間。夏普指數為0.24,在184檔ETF中排名第116,排名位於中間。

警語

1. 資料僅供參考,不做任何獲利保證及特定股票與點位推薦建議。

2. 資料並不完整,需要完整資料請至相關網站索取。

3. 任何股市數據分析皆存在倖存者偏差。

warning