瑞銀2023至2025年機動到期新興市場債券基金(人民幣)B類型(季配息)
8.39離岸人民幣0(0.01%)
2024/12/24更新
績效 / 1月0.38%
3月0.5%
1年3.17%
晨星評等-
- 1.現金6.62%
- 2.股票0.00%
- 3.債券64.92%
- 4.其他28.46%
- 1.英國0.43%
- 2.歐洲不包含歐元區0.02%
- 3.美國0.01%
- 1.防守性消費0.09%
- 2.金融服務0.08%
- 3.能源0.06%
- 4.健康護理0.06%
- 5.基本物料0.06%
- 6.工業0.03%
- 7.電訊服務0.03%
- 8.周期性消費0.03%
- 9.公用0.02%
- 10.房地產0.01%
- 1.United States Treasury Notes 2.875%8.78%
- 2.United States Treasury Notes 0.25%8.32%
- 3.United States Treasury Notes 4.75%4.92%
- 4.Saudi Arabia (Kingdom of) 4%3.42%
- 5.Petroleos Mexicanos 4.25%3.24%
- 6.Korea South-East Power 2.125%3.17%
- 7.Oman (Sultanate Of) 4.875%2.98%
- 8.Turkey (Republic of) 7.375%2.87%
- 9.Abu Dhabi National Energy Company 4.375%2.56%
- 10.Meglobal Canada Ulc 5%2.27%
- 1.現金6.62%
- 2.股票0.00%
- 3.債券64.92%
- 4.其他28.46%
- 1.防守性消費0.09%
- 2.金融服務0.08%
- 3.能源0.06%
- 4.健康護理0.06%
- 5.基本物料0.06%
- 6.工業0.03%
- 7.電訊服務0.03%
- 8.周期性消費0.03%
- 9.公用0.02%
- 10.房地產0.01%
- 1.英國0.43%
- 2.歐洲不包含歐元區0.02%
- 3.美國0.01%
- 1.United States Treasury Notes 2.875%8.78%
- 2.United States Treasury Notes 0.25%8.32%
- 3.United States Treasury Notes 4.75%4.92%
- 4.Saudi Arabia (Kingdom of) 4%3.42%
- 5.Petroleos Mexicanos 4.25%3.24%
- 6.Korea South-East Power 2.125%3.17%
- 7.Oman (Sultanate Of) 4.875%2.98%
- 8.Turkey (Republic of) 7.375%2.87%
- 9.Abu Dhabi National Energy Company 4.375%2.56%
- 10.Meglobal Canada Ulc 5%2.27%