天達環球策略基金 - 環球策略管理基金 A (累積) 美元

0.53%
0.66
  • 價格日期: 12/12/2018
  • Morningstar 星號評級: 4 out of 5 stars
  • 風險評級+: 3

資產淨值

基金詳情

關於本基金
基金詳情截至2018年10月31日
報價貨幣美元
基金推出日期1995年2月6日
股份類別推出日期2005年6月22日
股份類別推出價71.19 美元
基金資產941.39 百萬
指數MSCI ACWI Hdg NR AUD X 60% + FTSE WGBI USD X 40%
Morningstar 基準指數Cat 50%Barclays US Agg TR&50%FTSE Wld TR
Morningstar 基金組別美元平衡型股債混合
識別代碼
基金代碼
LU0345768153
彭博代碼
GUIIBGA
「富達通」代號
1557

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Stocks advanced Wednesday — investors were hopeful about US/China trade relations after the latest comments from both sides. They also saw some reassuring signs in British politics. President Donald Trump, in an interview with Reuters, said trade talks were under way with China. Traders said China made the first major purchase of US soybeans since Washington and Beijing agreed to a temporary trade truce earlier this month. Also, Trump said he would intervene in a case against a top executive at Huawei Technologies if it would help secure a trade deal. The Dow Jones industrials were up 0.6 percent, the S&P gained 0.5 percent and the Nasdaq added 0.9 percent. Trading continued to be choppy.
Stocks ended a day of choppy trading mixed. A positive was that investors seemed hopeful about China/US trade talks. This reversed an earlier slump that coincided with President Donald Trump’s threat to shut down the US government. An official told the media late in the trading session that China had indicated it will cut tariffs on US autos to 15 percent from 40 percent but that the Trump administration was awaiting formal documentation and timing. Trading got a strong start to the session on news that US and Chinese officials had discussed a road map for the next stage of trade talks, which Trump called “very productive.”

資料來源:Morningstar Asia Limited。以上由Morningstar所提供的資料只供投資者作參考。所有基金報價是以截至最新估值日的資料計算。圖表內的表現資訊(%)可能基於小數位整合或圖表製作方式等因素而有輕微差別。

本節所載非富達管理的基金之銷售及有關文件,由數據供應商fundinfo Asia有限公司(www.fundinfo.com)向富達基金(香港)有限公司提供。

基金股息只會在維持穩定股息時,方會由基金的資本部份支付基金的股息。且請注意每股股息並非固定不變。基金的股息率並不代表基金的回報,過去的股息率亦不代表將來的股息率。股息分派並不獲保證。

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基金風險評級是根據截至#{hkweb.fundDetailService.getMaxRetailFundsRiskLevelAsOfDate}之資料計算。風險評級為1=低風險,2=低至中等風險,3=中等風險,4=中等至高風險,5=高風險。 基金風險評級將一般於每半年進行檢討。

有關基金風險評級及其計算方法的詳情,請參閱此概覽。

基金風險評級源自晨星投資管理亞洲有限公司及其相關公司為富達建立的計算方法。向投資者提供的基金風險評級僅供參考之用。

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基金的名稱並不反映基金的表現及回報。