成分股列表

永豐10年A公司債(00836B) 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
1WFC 5.013 04/042.07%
2PFE 5.3 05/19/51.82%
3IBM 5.3 02/05/51.81%
4QCOM 6 05/20/531.76%
5BAC 4.083 03/201.71%
6IBM 5 1/4 02/051.7%
7BRKHEC 5.8 01/11.67%
8ABBV 4 1/4 11/21.39%
9HSBC 6.332 03/01.31%
10JPM 3.109 04/221.1%
11PFE 5.34 05/19/1.06%
12ABBV 4.05 11/210.96%
13WFC 4.611 04/250.93%
14HD 4.95 09/15/50.93%
15EPD 3.95 01/31/0.93%
16BMY 4 1/4 10/260.8%
17LLY 5.1 02/09/60.79%
18CMCSA 2.887 11/0.79%
19UNH 5.2 04/15/60.78%
20CMCSA 2.937 11/0.77%
21CMCSA 2.987 11/0.73%
22ABBV 5 1/2 03/10.73%
23MS 5.597 03/24/0.72%
24UNP 3.799 04/060.71%
25UNH 5 1/2 04/150.71%
26BPLN 3.379 02/00.68%
27DIS 3.6 01/13/50.68%
28TTEFP 5.638 04/0.68%
29CMCSA 3 3/4 04/0.68%
30PFE 5.11 05/19/0.66%
31BMY 6 1/4 11/150.66%
32LLY 5 02/09/540.66%
33TOTAL 3.127 05/0.65%
34COP 5.3 05/15/50.65%
35HD 3.3 04/15/400.65%
36BNSF 5.2 04/15/0.64%
37BMY 6.4 11/15/60.64%
38BMY 4.55 02/20/0.63%
39UNH 5 7/8 02/150.63%
40RIOLN 5 1/8 03/0.63%
41CMCSA 5 1/2 05/0.62%
42COP 4.025 03/150.62%
43KLAC 4.95 07/150.61%
44MET 5 07/15/520.61%
45MET 5 1/4 01/150.6%
46UNH 2.9 05/15/50.58%
47GASBCM 6.51 02/0.58%
48CSLAU 4 3/4 04/0.56%
49MA 3.85 03/26/50.56%
50BMY 3.9 03/15/60.56%
51ABBV 5.4 03/15/0.56%
52CMCSA 5.65 06/00.56%
53BNSF 5 1/2 03/10.56%
54UPS 5 1/2 05/220.56%
55PYPL 5.05 06/010.55%
56CSCO 5.3 02/26/0.55%
57UPS 5.3 04/01/50.54%
58JPM 3.109 04/220.54%
59COP 5.55 03/15/0.54%
60TTEFP 5.488 04/0.54%
61HON 5 1/4 03/010.54%
62UNH 5 3/8 04/150.54%
63ENIIM 5.95 05/10.54%
64UBS 3.179 02/110.53%
65HD 3.35 04/15/50.53%
66HD 3 5/8 04/15/0.53%
67MMC 5.7 09/15/50.53%
68CMCSA 3 1/4 11/0.53%
69BPLN 3 02/24/500.52%
70BMETR 4.7 05/070.52%
71C 2.904 11/03/40.52%
72JPM 3.328 04/220.52%
73PRU 3.7 03/13/50.52%
74BAC 3.311 04/220.52%
75BNSF 4.45 01/150.52%
76BRKHEC 5 1/2 050.52%
77BPLN 3.06 06/170.51%
78UNH 4.95 05/15/0.51%
79PFE 2.7 05/28/50.51%
80CMCSA 2.65 08/10.51%
81ADI 2.95 10/01/0.51%
82CAT 3 1/4 09/190.51%
83DIS 3 1/2 05/130.51%
84MS 2.802 01/25/0.51%
85BMY 4.35 11/15/0.51%
86PETMK 3.404 04/0.5%
87JPM 3.157 04/220.5%
88SUMIBK 6.184 070.5%
89MRK 5 05/17/530.5%
90PYPL 3 1/4 06/00.49%
91NKE 3 3/8 03/270.49%
92DIS 6.65 11/15/0.49%
93MRK 2.9 12/10/60.48%
94HD 2 3/4 09/15/0.48%
95BAC 2.676 06/190.48%
96ABIBB 4.35 06/00.48%
97SPG 3 1/4 09/130.47%
98BRKHEC 2.9 06/10.47%
99LLY 4.95 02/27/0.47%
100CRM 3.05 07/15/0.46%
101BPLN 2.939 06/00.46%
102UNH 5.05 04/15/0.46%
103GS 3.436 02/24/0.46%
104EIX 3.65 02/01/0.45%
105ARAMCO 3 1/4 110.45%
106ED 3.95 04/01/50.45%
107RIOLN 2 3/4 11/0.45%
108UNH 6.05 02/15/0.45%
109MRK 5.15 05/17/0.45%
110DIS 3.8 05/13/60.44%
111DIS 4.7 03/23/50.44%
112TXN 5.05 05/18/0.44%
113LLY 4 7/8 02/270.44%
114DHR 2.8 12/10/50.44%
115ABIBB 4 1/2 06/0.44%
116BMY 5.65 02/22/0.44%
117EIGPRL 3.545 080.43%
118KO 2 1/2 03/15/0.43%
119UNP 3 1/2 02/140.43%
120CAT 3 1/4 04/090.43%
121BRKHEC 5.35 12/0.43%
122BMY 3.55 03/15/0.43%
123PFE 2.55 05/28/0.42%
124KO 2.6 06/01/500.42%
125HD 2 3/8 03/15/0.42%
126PETMK 4.55 04/20.42%
127PEP 2 7/8 10/150.42%
128C 5.316 03/26/40.42%
129INTU 5 1/2 09/10.42%
130UNP 3.839 03/200.42%
131UNH 2 3/4 05/150.41%
132MRK 2.35 06/24/0.41%
133CSCO 5.35 02/260.41%
134CMI 5.45 02/20/0.41%
135BMY 5.55 02/22/0.41%
136CMCSA 2.45 08/10.4%
137PEP 2 3/4 10/210.4%
138EPD 3.7 01/31/50.4%
139ENTERP 5.4 05/00.4%
140KO 3 03/05/510.39%
141UNH 3 1/8 05/150.39%
142HD 3 1/8 12/15/0.39%
143LLY 2 1/4 05/150.39%
144TMO 2.8 10/15/40.39%
145TGT 4.8 01/15/50.38%
146KO 2 1/2 06/01/0.37%
147BPLN 2.772 11/10.37%
148CMCSA 2.8 01/150.37%
149BX 3.2 01/30/520.37%
150EPD 3.3 02/15/50.37%
151MRK 2.45 06/24/0.36%
152DIS 2 3/4 09/010.36%
153CBAAU 3.743 09/0.36%
154EPD 3.2 02/15/50.36%
155CRM 2.9 07/15/50.36%
156BPLN 3.001 03/10.35%
157GASBCM 6.129 020.35%
158LMT 5.7 11/15/50.35%
159MRK 2 3/4 12/100.35%
160EIGPRL 4.387 110.34%
161ARAMCO 3 1/2 110.34%
162BAC 2.972 07/210.33%
163NATMUT 3.9 11/30.33%
164BMY 2.55 11/13/0.33%
165CMCSA 5.35 05/10.32%
166QCOM 4 1/2 05/20.29%
167UNH 3 1/4 05/150.29%
168NKE 3 1/4 03/270.28%
169BRKHEC 5.85 09/0.28%
170PETMK 4.8 04/210.27%
171BAC 2.831 10/240.27%
172UPS 5.05 03/03/0.26%
173TGT 2.95 01/15/0.18%

常見問題

投資ETF常見的問題。

1. 永豐10年A公司債(00836B)可以買嗎?
目前大盤大盤領先指標循環為佳的條件下,買進永豐10年A公司債(00836B)持有一季的平均年化報酬率為-3.8%,在184檔ETF中排名第138,排名位於中間。夏普指數為-0.44,在184檔ETF中排名第136,排名位於中間。需要注意的是,持有一季的最大跌幅為-7.7%,價格波動較大。

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。

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