瑞銀 (盧森堡) 亞洲非投資等級債券基金 (美元) I-A1-累積
95.66美元0.19(0.2%)
2026/01/07更新
子基金的目標是在妥善兼顧投資資本的安全和子基金資產流通的同時實現高現有盈利。子基金將其大部分資產投資於以亞洲為據點或主要活躍於該地區的國際與超國家組織、公營及半公營機構以及公司所發行的債務證券及債權。子基金可將其不多於20%的淨資產投資於以人民幣計值並於中國銀行同業債券市場(「中國銀行同業債券市場」)或經債券通買賣的固定收益工具。子基金最多25%的資產可投資於可換股、可交換及認股權證掛鈎債券,以及可換股債權證。
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Peijiao Yu (MBA2, CFA, FRM3), Director, is a Fixed Income Senior Portfolio Manager based in Singapore. Prior to joining Credit Suisse Asset Management in 2017, he was a vice president with Citigroup Global Markets in Hong Kong, where he worked for four years as a desk analyst on the emerging-markets credit-trading desk. He was mainly responsible for providing market commentaries and trading strategies across the investment-grade and high-yield space within the Asian G3 bond universe. Peijiao started his career at KPMG China in 2005, where he spent six years in the audit and the advisory departments focusing on credit assessment and risk management. He holds a bachelor’s degree from the Peking University Guanghua School of Management and an MBA from the New York University Stern School of Business. Peijiao is a CFA charterholder and also a Financial Risk Manager (FRM).
Raymond has lead Income Partners’ RMB fixed income investment team since 2010, and is a key member of the firm’s Investment Committee. He has over 12 years’ professional work experience in global fixed income markets, with extensive exposure and work experience with Chinese regulators and various Chinese institutions. He launched a first-to-market offshore pure investment grade RMB product followed by an offshore high yield RMB product at Income Partners for institutional investors, and proactively set up a “reverse enquiry model” in order to expand the offshore CNH primary bond issuance market.