鋒裕匯理基金歐洲防護股票 I 歐元
3656.49歐元16.4(0.45%)
2024/12/20更新
本基金之投資目標係為達到長期資本增長。具體而言,本基金尋求在任何五年期間,達到超越MSCI Europe (dividends reinvested)指數之表現(於扣除適用之費用後)。 本基金主要投資於歐洲股票。特別是,本基金至少將其資產之 67%投資於 MSCI Europe 指數所包含之公司之股票,且至少將其淨資產之 75%投資於總部或主要業務位於歐洲之公司。此等投資並無幣別限制。於遵守上述政策之同時,本基金亦得投資於其他股票、股權連結工具、可轉換債券、債券、貨幣市場工具及存款,最多亦得將其淨資產之 10%投資於 UCITS/UCIs。
大型 | |||
---|---|---|---|
中型 | |||
小型 | |||
價值型 | 均衡型 | 增長型 |
Olivier Avertin is a portfolio manager within the Smart Beta Equities team since 2012. He joined Amundi as a portfolio manager in 2007. Prior to Amundi, he was a proprietary trader in Exane. Olivier Avertin holds a postgraduate degree in Finance from IEP (Institute of Political Science Paris). He also holds a postgraduate degree in Applied Mathematics from Paris IX Dauphine University.
Melchior Dechelette is Head of Active Smart Beta Equities. He joined Amundi in 2002 as a European Equity Manager. Before joining Amundi, he was a portfolio manager and buy-side analyst for CPR AM. Melchoir Dechelette holds an MA in Manaagement (Finance) from Paris IX Dauphine University.