施羅德環球基金系列-亞洲股票(美元)A-累積
104.52美元0.5(0.48%)
2024/12/06更新
該基金旨在通過投資於符合投資經理的可持續標準的亞太區市場的公司的股本和股本相關證券,在三年至五年期內扣除費 用 後 提 供 超 過 MSCI AC Asia Pacific ex Japan (Net TR) index的資本增值。該基金被積極管理及將其至少三分之二的資產投資於亞太區市場(日本除外)的公司或大部分的收入或利潤產生自亞太區地區的公司的股本和股本相關證券。該基金可直接投資於中國B股及中國H股,亦可將其少於30%的資產(以淨額計算)直接或間接(例如通過參與票據)通過以下各項投資於中國A股。該基金亦可將其不多於三分之一的資產直接或間接投資於其他證券(包括其他資產類別)、國家、地區、行業或貨幣、投 資基金、認股證及貨幣市場投資項目,和持有現金。
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Investment career commenced in 2009 and joined Schroders in 2021. Currently managing Sustainable Asian Equities strategy and based in Hong Kong. Wei Wei joined Schroders from Mirae Asset Management where he managed China and Regional portfolios, as well as a senior investment analyst covering Industrials, Telecoms and Autos sectors (2014 –2021). Prior to this, Wei Wei was a senior research associate at Citigroup Global Markets Asia covering the Hong Kong/China Consumer sectors (2011 – 2014). His investment career began in 2009 with Allianz Global Investors (formerly Allianz-RCM Asia Pacific), where he was a Research Associate for the Global Equities team. BSc (Hons) majoring in Accounting and Finance from The London School of Economics and Political Science (LSE), London. He is also a Certified Public Accountant (CPA) and Certified Environmental, Social and Governance Analyst (CESGA).