富蘭克林坦伯頓全球投資系列-潛力歐洲基金美元避險A(acc)股-H1
13.82美元0.08(0.58%)
2024/12/24更新
該基金以資本增值為投資目標,主要透過投資於由歐洲貨幣聯盟成員國家(歐元區國 家)包括政府及企業發行商所發行、以歐元或其他相關國家貨幣為結算單位的股票及 債務證券,或任何其他發行商所發行以歐元定值的股票及債務證券,以達到其投資目標。該基金以其資產總值的最少 75%投資於其總部位於歐洲聯盟的公司所發行的股票證券。為增加額外資本或收益或為降低成本或風險,該基金可以符合其投資政策的方式從事證券借貸交易,最高可達其資產淨值的 50%。
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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.