Fund Information

Fund Information > Offshore Funds > Classification Data

Total 37 Master Agents、 63 Offshore Fund Institutions、
962 Offshore Funds,Amount of Domestic Investors Holding is NTD 4,970,433,975,712 。 As of Dec. 31,2025

ClassificationDetailAmount of Domestic
Investors Holding
(TWD)
Type of BeneficiaryIndividual Beneficiaries34,282,516,816
Institutional BeneficiariesNon-Omnibus Account2,024,684,160,659
Omnibus AccountNon-discretionary money trust2,591,573,904,486
Sub-brokerage account75,437,418,520
Others244,455,975,231
Omnibus Account Subtotal2,911,467,298,237
Institutional Beneficiaries Subtotal4,936,151,458,896
Type of Beneficiary Total4,970,433,975,712

ClassificationDetailAmount of Domestic
Investors Holding
(TWD)
Fund TypeEquity Fund1,614,803,555,726
Fixed income fundBond fund205,542,502,027
High yield bond fund639,405,680,903
Emerging market bond fund348,780,355,006
Others789,799,490,964
Fixed income fund Subtotal1,983,528,028,900
Balance fund1,322,384,223,899
Money market fund46,749,135,774
Fund of funds0
Exchange traded fund0
Others2,969,031,413
Fund Type Total4,970,433,975,712

ClassificationDetailAmount of Domestic
Investors Holding
(TWD)
Investment AreaGlobalDeveloped markets695,517,046,366
Emerging markets436,208,715,303
Hybrid markets1,796,181,220,527
Global Subtotal2,927,906,982,196
Single CountryJapan76,804,229,309
India42,060,938,833
USA1,409,390,425,235
Other21,288,326,385
Single Country Subtotal1,549,543,919,762
RegionalNorth America82,348,202,522
Developed Europe117,484,738,854
Asia Pacific(Exclude Japan)143,173,838,635
Asia Pacific(Include Japan)28,216,053,308
New Zealand & Australia0
Emerging Europe11,450,245,690
Emerging Latin America34,322,466,351
Other emerging markets1,843,758,276
Mainland China & Hong Kong69,462,134,833
Others4,681,635,285
Regional Subtotal492,983,073,754
Investment Area Total4,970,433,975,712

ClassificationDetailAmount of Domestic
Investors Holding
(TWD)
CurrencyUSD4,329,785,222,102
EUR129,821,683,020
JPY97,655,857,691
Others413,171,212,899
Currency Total4,970,433,975,712


Interpretation:
1. The fund with different shares is regarded as one fund.
2. The fund type of an umbrella fund is based on the nature of its sub-funds.
3. This table shows the aggregated asset under management from Taiwan of registered offshore funds,which were approved by SFB,according to the Regulations Governing Offshore Funds enacted on July 31,2005. The above amounts are including the total volume in Taiwan prior to the Regulations enacted. Acording to the Article 55 of the Regulations,the fund institutions were granted 1 year's grace period. Therefore,the statistical data from Mar. to Jun. 2006 is for reference only.
4. Taiwan Depository of Cleaning Corporation is the source of the above data.