Type | ISIN | Bloomberg Ticker | |
---|---|---|---|
Class A USD | Distribution | HK0000340569 | BGIOPUA HK |
Class A RMB | Distribution | HK0000204898 | BOGIOAR HK |
Class A HKD | Distribution | HK0000902418 | BOSCHIU HK |
Class S USD* | Distribution | HK0000902384 | BOSCHND HK |
Class I USD | Distribution | HK0000340577 | BGIOFUI HK |
Class I HKD | Distribution | HK0000902426 | BGIOPHI HK |
Class I RMB | Distribution | HK0000204906 | BSTRMBB HK |
Class A USD | Distribution |
Class A RMB | Distribution |
Class A HKD | Distribution |
Class S USD* | Distribution |
Class I USD | Distribution |
Class I HKD | Distribution |
Class I RMB | Distribution |
* Class S Units are available for subscription by the following categories of investors:
i. investors whose underlying investors may otherwise be charged with duplicate fees, including but not limited to fund-of-funds (which may be managed by the Manager or its Connected Persons) or repackaging notes; and
ii. current employees of the Manager or its affiliates at the time of subscription who submit dealing orders directly without going through any distribution channels.
# The ongoing charges figure is indicative only as the Class is recently re-launched. It represents the sum of the estimated ongoing expenses over a 12-month period chargeable to the Sub-Fund expressed as a percentage of the Sub-Fund's NAV. The actual figure may be different from this estimated figure and it may vary from year to year.
^ The Manager has discretion as to whether or not the Sub-Fund will make any distribution of dividends, the frequency of distribution and amount of dividends. There is no guarantee of regular distribution nor, where distribution is made, the amount being distributed. Dividends may be paid out of capital or effectively out of capital of the relevant Class and may result in an immediate reduction of the Net Asset Value per unit of the Sub-Fund.
基金類別 | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 |
---|---|---|---|---|---|---|---|---|---|---|
类别I美元 | 11.98 | 2.60 | 0.10 | |||||||
类别I人民币 | -6.88 | -2.76 | 7.88 | 0.92 | -8.49 |
基金類別 | |
---|---|
类别I美元 | 11.98 |
类别I人民币 |
^由於子基金所有份額在2022年12月7日已全部贖回,故無充分數據為投資者提供過往表現的有用指標。
子基金的年度表現將會在類別收到新認購的12個月後公佈。
基金表現以資產淨值對資產淨值計算(當中已將股息再做投資(如有))。
備註:截止2022年12月21日及以前的業績表現的情況不再適用,因為子基金的投資目標及策略從2022年12月21日起變更。
資料來源:博時基金(國際)有限公司
過往的業績並不代表將來的表現。投資者可能無法取回原本投資金額。
SYSTIO 2.95 03/16/24 |
ICBCIL 2 1/8 01/27/25 |
CDCOMM 2.2 12/01/24 |
QDJZWD 3.2 03/03/25 |
GXCMIN 3.95 07/12/25 |
類別基金 | 記錄日 | 除息日 | 派息日 | 每單位獲分派收益 | 股息從每月淨可分派收益中派發 | 股息從資本中派發 |
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#正數派息並不代表正數回報。基金派息並無保證。基金經理有權可從資本撥款支付派息。從資本撥款支付派息有可能導致資產淨值下跌。
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