景順印度債券基金A-總收益-年配息(歐元對沖)股 歐元
6.73歐元0.42(5.82%)
2021/03/01更新
績效 / 1月2.2%
3月2.1%
1年1.5%
晨星評等-
淨值走勢
基金總覽
基金規模386.76百萬截至 2021-03-01
持股明細 / 風險評估
- 1.India (Republic of) 6.79%11.43%
- 2.India (Republic of) 7.17%9.85%
- 3.India (Republic of) 7.61%8.69%
- 4.India (Republic of) 8.24%6.59%
- 5.India (Republic of) 7.26%5.56%
- 1.India (Republic of) 6.79%11.43%
- 2.India (Republic of) 7.17%9.85%
- 3.India (Republic of) 7.61%8.69%
- 4.India (Republic of) 8.24%6.59%
- 5.India (Republic of) 7.26%5.56%