華南永昌優選收益多重資產基金(月配新台幣)(停止銷售)
9.09新台幣0.04(0.44%)
2020/05/14更新
績效 / 1月1.79%
3月7.98%
1年
晨星評等-
- 1.現金35.57%
- 2.股票2.43%
- 3.債券35.27%
- 4.其他26.73%
- 1.電訊服務11.71%
- 2.房地產6.01%
- 3.周期性消費3.65%
- 1.Bharti Airtel International (Netherlands) B.V. 5.35%8.45%
- 2.Sunac China Holdings Limited 8.38%6.89%
- 3.CIFI Holdings Group Co Ltd 6.88%6.84%
- 4.Crown Castle International Corp6.01%
- 5.CVS Health Corp 4.3%5.53%
- 6.Fufeng Group Limited5.40%
- 7.Netflix Inc4.89%
- 8.iShares US Treasury Bond ETF4.47%
- 9.PT Japfa Comfeed Indonesia Tbk 5.5%4.17%
- 1.現金35.57%
- 2.股票2.43%
- 3.債券35.27%
- 4.其他26.73%
- 1.電訊服務11.71%
- 2.房地產6.01%
- 3.周期性消費3.65%
- 1.Bharti Airtel International (Netherlands) B.V. 5.35%8.45%
- 2.Sunac China Holdings Limited 8.38%6.89%
- 3.CIFI Holdings Group Co Ltd 6.88%6.84%
- 4.Crown Castle International Corp6.01%
- 5.CVS Health Corp 4.3%5.53%
- 6.Fufeng Group Limited5.40%
- 7.Netflix Inc4.89%
- 8.iShares US Treasury Bond ETF4.47%
- 9.PT Japfa Comfeed Indonesia Tbk 5.5%4.17%