施羅德環球基金系列-新興市場債券(歐元避險)A1-月配固定
7.55歐元0(0.04%)
2024/12/20更新
本基金旨在通過投資於新興市場的定息及浮息證券,在扣除費用後提供資本增值和收益的絕對回報。本基金被積極管理及將最少三分之二的資產投資於新興市場的定息及浮息證券、貨幣及貨幣市場投資項目。定息及浮息證券由政府、政府機構、跨國組織和公司發行。本基金亦可持有現金。
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Mr. Besaccia is an Emerging Markets Debt Research Analyst and Portfolio Manager at the Schroders organization. He has been an employee of the Schroders organization since 1998.
Fund Manager for Emerging Markets Debt Absolute Return, Global Managed Currency and Wealth Preservation. Joined Schroders in 1998 and is responsible for Central and Eastern European country analysis and selection. Investment career commenced in 1995 when he joined Garban Gilts.