(3137.hk)Global X 美元貨幣市場 ETF

持股明細(資料日期:2026/08/31)
持股名稱 比例%
USD Term deposit 3.65% 31/08/2026 10.08
USD Term deposit 3.78% 26/10/2026 6.04
USD Term deposit 3.6% 31/08/2026 5.72
BANK OF CHINA/TOKYO 0% 11/20/2026 3.83
USD Term deposit 3.82% 24/11/2026 3.62
USD Term deposit 3.88% 23/11/2026 3.02
USD Term deposit 3.89% 24/11/2026 3.02
USD Term deposit 3.9% 24/11/2026 3.02
USD Term deposit 3.76% 26/10/2026 3.02
USD Term deposit 4% 24/11/2026 3.02