鋒裕匯理基金新興市場債券 U 美元 (穩定月配息)
20.64美元0.02(0.1%)
2024/12/31更新
績效 / 1月0.96%
3月0.8%
1年7.24%
晨星評等-
- 1.現金5.30%
- 2.股票0.16%
- 3.債券88.94%
- 4.其他5.60%
- 1.歐元區0.08%
- 2.新興亞洲0.06%
- 3.美國0.03%
- 4.加拿大0.02%
- 5.英國0.01%
- 1.金融服務0.14%
- 2.基本物料0.03%
- 3.能源0.02%
- 1.Argentina (Republic Of) 0.75%1.74%
- 2.Saudi Arabia (Kingdom of) 3.75%1.45%
- 3.Amundi Funds1.33%
- 4.United States Treasury Bills1.10%
- 5.Amundi Planet SICAV-SIF Em Gr OneSnrUSDC1.08%
- 6.Petroleos Mexicanos 6.75%1.07%
- 7.Transnet SOC Limited 8.25%1.07%
- 8.Secretaria Tesouro Nacional 1%1.01%
- 9.United States Treasury Bills0.97%
- 10.Mexico (United Mexican States) 4.28%0.89%
- 1.現金5.30%
- 2.股票0.16%
- 3.債券88.94%
- 4.其他5.60%
- 1.金融服務0.14%
- 2.基本物料0.03%
- 3.能源0.02%
- 1.歐元區0.08%
- 2.新興亞洲0.06%
- 3.美國0.03%
- 4.加拿大0.02%
- 5.英國0.01%
- 1.Argentina (Republic Of) 0.75%1.74%
- 2.Saudi Arabia (Kingdom of) 3.75%1.45%
- 3.Amundi Funds1.33%
- 4.United States Treasury Bills1.10%
- 5.Amundi Planet SICAV-SIF Em Gr OneSnrUSDC1.08%
- 6.Petroleos Mexicanos 6.75%1.07%
- 7.Transnet SOC Limited 8.25%1.07%
- 8.Secretaria Tesouro Nacional 1%1.01%
- 9.United States Treasury Bills0.97%
- 10.Mexico (United Mexican States) 4.28%0.89%