聯博-亞洲股票基金BD月配級別美元(停止銷售)
13.17美元0.02(0.15%)
2022/09/08更新
績效 / 1月16.57%
3月3.36%
1年18.62%
晨星評等 - 1.現金0.02%
- 2.股票96.83%
- 3.債券0.00%
- 4.其他3.15%
- 1.新興亞洲59.09%
- 2.已開發亞洲36.96%
- 3.美國2.33%
- 1.周期性消費23.92%
- 2.金融服務23.88%
- 3.科技17.97%
- 4.公用8.02%
- 5.能源5.76%
- 6.房地產5.27%
- 7.工業4.98%
- 8.基本物料4.44%
- 9.電訊服務3.37%
- 10.防守性消費0.76%
- 1.Taiwan Semiconductor Manufacturing Co Ltd5.47%
- 2.Alibaba Group Holding Ltd Ordinary Shares4.26%
- 3.KB Financial Group Inc3.55%
- 4.SK Hynix Inc3.32%
- 5.United Microelectronics Corp3.06%
- 6.China Oilfield Services Ltd Class H3.01%
- 7.Maruti Suzuki India Ltd2.92%
- 8.Hana Financial Group Inc2.88%
- 9.Kia Corp2.78%
- 10.State Bank of India2.76%
- 1.現金0.02%
- 2.股票96.83%
- 3.債券0.00%
- 4.其他3.15%
- 1.周期性消費23.92%
- 2.金融服務23.88%
- 3.科技17.97%
- 4.公用8.02%
- 5.能源5.76%
- 6.房地產5.27%
- 7.工業4.98%
- 8.基本物料4.44%
- 9.電訊服務3.37%
- 10.防守性消費0.76%
- 1.新興亞洲59.09%
- 2.已開發亞洲36.96%
- 3.美國2.33%
- 1.Taiwan Semiconductor Manufacturing Co Ltd5.47%
- 2.Alibaba Group Holding Ltd Ordinary Shares4.26%
- 3.KB Financial Group Inc3.55%
- 4.SK Hynix Inc3.32%
- 5.United Microelectronics Corp3.06%
- 6.China Oilfield Services Ltd Class H3.01%
- 7.Maruti Suzuki India Ltd2.92%
- 8.Hana Financial Group Inc2.88%
- 9.Kia Corp2.78%
- 10.State Bank of India2.76%