AXA World Funds - Optimal Income
美元(0%)
更新
淨值走勢
基金總覽
基金規模593.84百萬截至 2022-05-20
持股明細 / 風險評估
- 1.歐元區18.69%
- 2.歐洲不包含歐元區8.31%
- 3.英國5.03%
- 4.美國3.39%
- 5.新興亞洲0.83%
- 1.工業9.84%
- 2.金融服務7.66%
- 3.科技5.84%
- 4.防守性消費4.98%
- 5.周期性消費3.79%
- 1.Us 10yr Note (Cbt)mar22 Expo25.17%
- 2.EURO STOXX 50 Index Total Return Mar2215.91%
- 3.Euro-Bund Future Mar22 Expo7.54%
- 4.France (Republic Of) 0%6.72%
- 5.ASML Holding NV4.85%
- 1.歐元區18.69%
- 2.歐洲不包含歐元區8.31%
- 3.英國5.03%
- 4.美國3.39%
- 5.新興亞洲0.83%
- 1.Us 10yr Note (Cbt)mar22 Expo25.17%
- 2.EURO STOXX 50 Index Total Return Mar2215.91%
- 3.Euro-Bund Future Mar22 Expo7.54%
- 4.France (Republic Of) 0%6.72%
- 5.ASML Holding NV4.85%
- 1.工業9.84%
- 2.金融服務7.66%
- 3.科技5.84%
- 4.防守性消費4.98%
- 5.周期性消費3.79%