美股
基金
外匯、加密貨幣
滬、深港通
港股
 
 
景順亞洲富強基金(美元) A股 累積股份
最新資產淨值價格
美元
 
15.06
(更新 :2022/06/23)
1個月回報
 
+1.07%
基金公司 景順投資管理亞洲有限公司
基金類型 股票基金
基金規模
 
7.97億
主題 消費者
地域分佈 亞洲 (日本除外)
 
基金投資目標及策略
基金的目標,是透過主要(基金最少70%的資產淨值)投資於預計可受惠於亞洲經濟體系(不包括日本)內部消費增長或與內部消費增長有關連的亞洲公司的股本證券,以達致長期資本增值。
 
 
主要風險
Risk of investing in sector-based fund:Since the Fund will not normally maintain a wide spread of investments, a more concentrated approach is taken. Investments are chosen for their long term potential and their prices (and therefore the net asset value) may be subject to above average volatility. Risk of investing in Asia:Since the Fund invests in Asian companies, the value of the assets of the Fund may be affected by uncertainties such as changes in government policies, taxation, fluctuations in foreign exchange rates, the imposition of currency repatriation restrictions, social and religious instability, political, economic or other developments in the law or regulations of Asia. Besides, it may involve certain risks such as higher price volatility, less publicly-available information and liquidity risk. Insofar as the Fund invests in securities denominated in the currencies of different Asian countries other than the base currency of the Fund, changes in foreign currency exchange rates may affect the value of the Fund. Equities risk:The value of, and income derived from, equity securities held may fall as well as rise and the Fund may not recoup the original amount invested in such securities. The prices of and the income generated by equity securities may decline in response to certain events, including the activities and results of the issuer, general economic and market conditions, regional or global economic instability and currency and interest rate fluctuations. Investment risk:There can be no assurance that the Fund will achieve its investment objective. There is no guarantee of the repayment of principal. The instruments invested by the Fund may fall in value.
 
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