景順多元收益成長基金 A-穩定月配息(美元對沖)股 美元
10.79美元0.02(0.2%)
2024/12/06更新
績效 / 1月1.07%
3月2.95%
1年14.05%
晨星評等-
- 1.現金4.26%
- 2.股票19.37%
- 3.債券49.53%
- 4.其他26.84%
- 1.美國18.89%
- 2.英國7.18%
- 3.歐元區6.97%
- 4.歐洲不包含歐元區2.53%
- 5.已開發亞洲2.00%
- 1.金融服務8.45%
- 2.科技6.35%
- 3.工業5.94%
- 4.周期性消費4.23%
- 5.健康護理3.79%
- 6.防守性消費3.00%
- 7.房地產2.18%
- 8.電訊服務1.55%
- 9.基本物料1.21%
- 10.能源0.87%
- 1.Invesco Euro Liquidity Port Agcy Acc3.72%
- 2.Euro Bund Future Sept 243.56%
- 3.Ultra 10 Year US Treasury Note Future Dec 242.16%
- 4.3i Group Ord2.08%
- 5.UnitedHealth Group Inc1.91%
- 6.United States Treasury Notes 4.875%1.72%
- 7.Microsoft Corp1.64%
- 8.Rolls-Royce Holdings PLC1.61%
- 9.Union Pacific Corp1.49%
- 10.United Kingdom of Great Britain and Northern Ireland 0.25%1.46%
- 1.現金4.26%
- 2.股票19.37%
- 3.債券49.53%
- 4.其他26.84%
- 1.金融服務8.45%
- 2.科技6.35%
- 3.工業5.94%
- 4.周期性消費4.23%
- 5.健康護理3.79%
- 6.防守性消費3.00%
- 7.房地產2.18%
- 8.電訊服務1.55%
- 9.基本物料1.21%
- 10.能源0.87%
- 1.美國18.89%
- 2.英國7.18%
- 3.歐元區6.97%
- 4.歐洲不包含歐元區2.53%
- 5.已開發亞洲2.00%
- 1.Invesco Euro Liquidity Port Agcy Acc3.72%
- 2.Euro Bund Future Sept 243.56%
- 3.Ultra 10 Year US Treasury Note Future Dec 242.16%
- 4.3i Group Ord2.08%
- 5.UnitedHealth Group Inc1.91%
- 6.United States Treasury Notes 4.875%1.72%
- 7.Microsoft Corp1.64%
- 8.Rolls-Royce Holdings PLC1.61%
- 9.Union Pacific Corp1.49%
- 10.United Kingdom of Great Britain and Northern Ireland 0.25%1.46%