富蘭克林坦伯頓全球投資系列-歐洲股票收益基金歐元A(acc)股
18.95歐元0.16(0.85%)
2023/12/08更新
富蘭克林歐洲股息基金(“本基金 ”)致力於提供一集合日常收益及長遠資本增值的組合。 本基金主要(即本基金最少三分之二的淨資產)投資於: · 在歐洲國家成立或其主要業務活動在歐洲國家之任何市值的公司的股票及/或股票相關證券(包括認股權證及可換股證券)。尤其是,本基金是透過投資於投資經理認為在投資時可提供吸引的息率及/或預期將來可提供吸引的息率的股票而獲得收入。在特殊的市場情況下(例如極度波動)及只在臨時基礎上,本基金最高達100%的淨資產在考慮到風險分散的原則下,可投資於流動資產。 本基金可在輔助情況下投資於: · 在歐洲國家成立或其主要業務活動在歐洲國家之任何市值的公司的股票掛鈎證券。 · 不符合上述要求的公司的股票、股票掛鈎證券及/或股票相關證券。 · 衍生工具作對沖、有效管理投資組合及/或投資用途。 本基金並不打算廣泛地或主要地投資於金融衍生工具作投資用途。
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Craig Cameron is a portfolio manager and research analyst for the Templeton Global Equity Group. Mr. Cameron's main responsibility is global coverage of renewable energy, which he has covered since 2013. He is also a portfolio manager for the group's climate change funds, working across a variety of sectors on thematic research ideas. Prior to joining Franklin Templeton in 2012, Mr. Cameron was an analyst at Standard Life. He entered the financial services industry in 2009, and has had research coverage for a number of sectors including insurance, electrical equipment and utilities. Mr. Cameron holds a B.Sc. in Mathematics from Edinburgh University, United Kingdom and is a Chartered Financial Analyst (CFA) charterholder.