富蘭克林坦伯頓全球投資系列-公司債基金避險歐元I(acc)股-H1
14.62歐元0.01(0.07%)
2024/10/08更新
該基金的首要目標為尋求高水平的日常收益,而該基金的次目標為資產增值,但須在 符合首要投資目標下始實行。該基金將配置最少 75%的淨資產於固定收益證券。該基金可能投資最高達 10%之資產於與信貸掛鈎之證券,該基金亦可能投資最高達其總資產 10%於違約證券。
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Bryant Dieffenbacher, CFA, Vice President, Portfolio Manager, Research Analyst, has served as portfolio manager of the Fund since 2024 and joined Franklin Advisers in 2010.
Mr. McGiveran joined Franklin Templeton in 2006.
Patricia O'Connor, CFA, VP, is a vice president and portfolio manager for the Franklin Templeton Fixed Income Group. Prior to joining Franklin Templeton in 1997, Ms. O'Connor worked for Morgan Stanley Asset Management. She holds a B.S. (Accounting, Lehigh Univ.) and an MBA (Univ. of Chicago). Ms. O'Connor holds a B.S. in accounting from Lehigh University and an M.B.A. in finance and economics from the University of Chicago. She is a Chartered Financial Analyst (CFA) charterholder, as well as a member of the CFA Society of San Francisco and CFA Institute.
基金篩選
沒有符合 ”“ 的搜尋結果。