基金持股分佈
資料日期:2024/10/31 |
|
基金持股分佈
資料日期:2024/10/31 |
|
資料月份:2024年10月 |
持股名稱 | 比例 |
Thailand Government Bond 2.65 Jun 17 28 |
3.70% |
Republic of Poland Government 7.5 Jul 25 28 |
3.20% |
Republic of South Africa 8 Jan 31 30 |
2.90% |
Brazil Notas DO Tesouro Nacion 10 Jan 01 29 |
2.70% |
India Government Bond 7.1 Apr 08 34 |
2.40% |
Czech Republic Government Bond 5.75 Mar 29 29 |
2.30% |
Mexican Bonos 7.75 May 29 31 |
2.20% |
Czech Republic Government Bond 5 Sep 30 30 |
2.10% |
Egypt Government Bond 25.318 Aug 13 27 |
2.00% |
Malaysia Government Bond 4.642 Nov 07 33 |
2.00% |