安聯新興債券收益組合基金- HB類型(月配息)-新臺幣(避險)
7.49新台幣0.02(0.21%)
2022/06/30更新
績效 / 1月5.15%
3月9.18%
1年19.92%
晨星評等-
淨值走勢
基金總覽
基金規模2,028.77百萬截至 2022-05-31
持股明細 / 風險評估
- 1.科技1.24%
- 2.金融服務0.94%
- 3.周期性消費0.72%
- 4.電訊服務0.61%
- 5.基本物料0.56%
- 1.PIMCO GIS Em Mkts Bdd E USD Inc21.61%
- 2.MFS Meridian Emerging Mkts Dbt I1 USD15.84%
- 3.abrdn Frntr Mkts Bd I MInc USD13.35%
- 4.MS INVF Emerging Markets Debt I8.72%
- 5.Schroder ISF Asian LclCcy Bd C Dis USDMV8.43%
- 1.PIMCO GIS Em Mkts Bdd E USD Inc21.61%
- 2.MFS Meridian Emerging Mkts Dbt I1 USD15.84%
- 3.abrdn Frntr Mkts Bd I MInc USD13.35%
- 4.MS INVF Emerging Markets Debt I8.72%
- 5.Schroder ISF Asian LclCcy Bd C Dis USDMV8.43%
- 1.科技1.24%
- 2.金融服務0.94%
- 3.周期性消費0.72%
- 4.電訊服務0.61%
- 5.基本物料0.56%