瀚亞投資─亞洲當地貨幣債券基金Azdm(南非幣避險月配)
8.29南非幣0.01(0.14%)
2024/11/20更新
該子基金投資於多元的組合,主要包括亞洲實體或其附屬公司發行的定息╱債務證券。該子基金的組合主要包括以多種亞洲貨幣計值的證券,其目標是透過投資於具有評級及並無評級的定息╱債務證券以達致最高的總回報。該子基金可將其資產淨值最多20%投資於ABS、MBS、或然可換股債券(「或然可換股債券」)、受壓證券及違約證券,而受壓證券及違約證券的限額為10%。該子基金可將其少於30%的資產淨值投資於具吸收虧損特點的債務工具,當中可將其最多10%的資產淨值投資於具吸收虧損特點的或然可換股債券(例如:具機械性觸發事件的額外一級資本及二級資本票據(即減記或轉換為具預訂觸發事件的股本特點之債務工具))及可將其最多20%的資產淨值投資於具吸收虧損特點的非優先高級債務及其他次級債務。此外,該子基金可將其資產淨值最多10%投資於合成定息票據(包括信貸掛鈎票據),亦可將其資產淨值最多10%持有因轉換或交換優先股或債務證券而產生的股本證券。
大型 | |||
---|---|---|---|
中型 | |||
小型 | |||
價值型 | 均衡型 | 增長型 |
Rong Ren Goh is a Portfolio Manager in the Fixed Income team and primarily responsible for the management of Global and Japan bond strategies, as well as thematic or Total Return oriented strategies including Asia Sustainable Bond and Capital Reserve funds. He is also the co-manager of Asian Total Return Bond fund. Rong Ren joined Eastspring Investments in January 2016. Prior to joining Eastspring Investments, Rong Ren worked as a Trader at Skandinaviska Enskilda Banken and Credit Agricole Corporate & Investment Bank, where he was responsible for market-making and execution of Asian currency and interest rate products. Rong Ren has 14 years of investment experience. Rong Ren holds a Bachelor of Science (Hons) Economics from London School of Economics.
基金篩選
沒有符合 ”“ 的搜尋結果。