高收益债券基金

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投资者获利了结 全球股票基金连续第二周“失血”
智通财经网· 2025-06-27 12:58
Group 1 - Global stock funds experienced a net outflow of $20.87 billion, marking the largest single-week withdrawal since March 19 [1] - U.S. stock funds saw a net outflow of $20.48 billion, the highest in three months [1] - European funds also faced a net outflow of $2.61 billion, while Asian funds attracted approximately $0.857 billion, marking the first inflow in three weeks [1] Group 2 - Global industry funds had a net outflow of approximately $2.56 billion, ending a four-week buying streak [1] - The technology sector experienced a net withdrawal of $2.67 billion, the largest single-week outflow since March 12 [1] - In contrast, the industrial sector saw a net inflow of $1 billion, continuing its inflow for the 11th consecutive week [1] Group 3 - Bond fund demand fell to the lowest level in nine weeks, with a net inflow of $4.69 billion [1] - High-yield bond funds attracted $4.45 billion, the highest weekly inflow since October 2024 [1] Group 4 - Global money market funds experienced a net outflow of $10.62 billion for the third consecutive week [2] - Gold and precious metals funds attracted a net inflow of $1.67 billion for the fifth consecutive week [3] - Energy sector funds also saw a net inflow of $0.375 billion [3] Group 5 - Emerging market bond funds had a net inflow of $2.67 billion for the ninth consecutive week, while emerging market stock funds experienced a net outflow of $1.11 billion [3]
【晨星焦点基金系列】:汇丰亚洲高收益债券
Morningstar晨星· 2025-03-26 10:18
进入晨星小程序,轻松掌握更多基金信息! 该基金主要投资于亚洲美元高收益债券,与同类基金相比,其在新兴市场主权债券和投资级债券上的配置比重相对更高。亚洲固收投资团队首先基于对宏 观经济的研判,确定信用、利率和货币等不同资产之间的配置比重,进而借助定量工具的辅助,制定针对不同行业和地区的配置策略;而在自下而上精选 个券环节,投资团队会与研究团队充分讨论后决定。在 2011 年 5 月至 2025 年 2 月底主基金经理管理期间,该基金的年化回报为 2.58% ,在同类基金中排名第 32 个百分位。在此期间,组合的波动性(以标准差衡量)为 8.63% ,低于晨星同类平均的 10.13% ,同样排在同类第 32 个百分位。费用方面,该基金的人民 币累计份额年化综合费率为 1.36% ,低于同类基金中位数的 1.49% 。 汇丰亚洲高收益债券基金由具备丰富投研经验的基金经理航舵,并得到研究团队的有力支持。基金的投资流程清晰且可复制性强,并在多个市场周期中 为投资者创造了良好的长期回报。 近年来基金的风险管理框架进行了调整,其实施效果还有待观察。 风险提示: 由于该基金对新兴市场主权债券和准主权债券的配置比重相对较高,回 ...
【晨星焦点基金系列】:汇丰亚洲高收益债券
Morningstar晨星· 2025-03-26 10:18
该基金主要投资于亚洲美元高收益债券,与同类基金相比,其在新兴市场主权债券和投资级债券上的配置 比重相对更高。亚洲固收投资团队首先基于对宏观经济的研判,确定信用、利率和货币等不同资产之间的 配置比重,进而借助定量工具的辅助,制定针对不同行业和地区的配置策略;而在自下而上精选个券环 节,投资团队会与研究团队充分讨论后决定。在 2011 年 5 月至 2025 年 2 月底主基金经理管理期间,该基金的年 化回报为 2.58% ,在同类基金中排名第 32 个百分位。在此期间,组合的波动性(以标准差衡量)为 8.63% , 低于晨星同类平均的 10.13% ,同样排在同类第 32 个百分位。费用方面,该基金的人民币累计份额年化综合 费率为 1.36% ,低于同类基金中位数的 1.49% 。 进入晨星小程序,轻松掌握更多基金信息! | 基金代码: | 968092 | | --- | --- | | 基金类型: | 亚洲高收益债券 | | 基准指数: | 摩根大通亚洲信贷指数非投资 | | | 级总回报指数 | | 成立日期: | 2020-02-03 | | --- | --- | | 基金规模(亿元): | 81.8 ...