94.66美元0.87(0.91%)
2026/01/08更新
績效 / 1月4.71%
3月7.49%
1年45.04%
晨星評等 淨值走勢
基金總覽
基金規模2,647.61百萬截至 2026-01-07
持股明細 / 風險評估
- 1.新興亞洲41.42%
- 2.已開發亞洲31.00%
- 3.拉丁美洲16.33%
- 4.非洲4.08%
- 5.英國1.88%
- 1.金融服務23.54%
- 2.科技20.85%
- 3.周期性消費14.88%
- 4.電訊服務10.99%
- 5.基本物料7.99%
- 1.Taiwan Semiconductor Manufacturing Co Ltd8.80%
- 2.Tencent Holdings Ltd4.99%
- 3.Samsung Electronics Co Ltd4.61%
- 4.Kasikornbank Public Co Ltd4.32%
- 5.HDFC Bank Ltd4.02%
- 1.新興亞洲41.42%
- 2.已開發亞洲31.00%
- 3.拉丁美洲16.33%
- 4.非洲4.08%
- 5.英國1.88%
- 1.Taiwan Semiconductor Manufacturing Co Ltd8.80%
- 2.Tencent Holdings Ltd4.99%
- 3.Samsung Electronics Co Ltd4.61%
- 4.Kasikornbank Public Co Ltd4.32%
- 5.HDFC Bank Ltd4.02%
- 1.金融服務23.54%
- 2.科技20.85%
- 3.周期性消費14.88%
- 4.電訊服務10.99%
- 5.基本物料7.99%