羅素全球高收益債券基金TWN DH收益類別(停止銷售)
8.52美元0(0.02%)
2021/08/13更新
本基金之投資目標,旨在創造收益與資本增長。為設法達成此目標,本基金將主要投資於高收益公司債務工具。本基金係透過投資於具信用風險、採取固定或浮動利率,且在全球受規管市場上市、買賣 或交易之債務工具,以設法創造報酬。本基金將分散投資於全球各種類別,以避免過度集中於任一單一類別或發行人。
大型 | |||
---|---|---|---|
中型 | |||
小型 | |||
價值型 | 均衡型 | 增長型 |
Keith Brakebill, Senior Portfolio Manager since November 2013. Keith was a Portfolio Manager from August 2011 to November 2013. He joined Russell Investment Management, LLC (RIM) in 2007. Prior to joining Russell, Keith graduated summa cum laude from the University of Tennessee’s college scholars program and continued his studies in the international policy studies program at Stanford University, where he also assisted in teaching undergraduate economics courses. Keith is fluent in Spanish and proficient in Portuguese. Keith holds an M.A. in International Policy Studies from Stanford University, and a B.A. (summa cum laude), from College Scholars, University of Tennessee. He is also a CFA® Charterholder. Keith Brakebill, Director, Senior Portfolio Manager, Fixed Income, has primary responsibility for the management of the Fund. Mr. Brakebill has managed the Fund since August 2011.