比特幣以太幣美國國債貨幣市場
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Bosera Greater China Enhanced Return Bond Fund

Important Notice
Investment involves risk. Past performance is not indicative of future performance. Investor should not make any investment decision solely based on the information provided on this material. Investors should refer to the Explanatory Memorandum and the Key Facts Statement of the Sub-Fund for further details, including the product features and risk factors before making any investment decisions.
  • Bosera Greater China Enhanced Return Bond Fund (the “Sub-Fund”) is a sub-fund of the Bosera Global Public Funds Series Open-ended Fund Company (“Company”), which is a public umbrella open-ended fund company established under Hong Kong law with variable capital with limited liability and segregated liability between sub-funds. The Company has been registered with the Securities & Futures Commission (“SFC”) as an OFC and the Company and the Fund have been authorized by the SFC pursuant to section 104 of the Securities and Futures Ordinance. The SFC’s registration or authorization is not a recommendation or endorsement of the Company or the Fund nor does it guarantee the commercial merits of the Company or the Fund or its performance. It does not mean the Company or the Fund is suitable for all investors nor is it an endorsement of its suitability for any particular investor or class of investors.
  • Investors should be aware that investment in any Sub-Fund is subject to normal market fluctuations and other risks inherent in the underlying assets into which the Sub-Fund may invest. There can be no assurance that any appreciation in value of investments will occur. There is no guarantee of the repayment of principal. There is no assurance that the investment objectives of a Sub-Fund will actually be achieved, notwithstanding the efforts of the Manager since changes in political, financial, economic, social and/or legal conditions are not within the control of the Manager. Accordingly, there is a risk that investors may not recoup the original amount invested in a Sub-Fund or may lose a substantial part or all of their initial investment.
  • The Sub-Fund’s investments are concentrated in Greater China (comprising Mainland China, Hong Kong, Macau and Taiwan). This may result in greater volatility than portfolios which comprise broad-based global investments. The value of the Sub-Fund may be more susceptible to adverse economic, political, policy, foreign exchange, liquidity, tax, legal or regulatory event affecting the Greater China market.
  • The Sub-Fund is subject to risks pertaining to debt instruments, including interest rate risk, credit risk, volatility and liquidity risk, credit rating risk and risk of credit rating downgrades, valuation risk, risk of investing in debt securities which are rated below investment grade or are unrated, sovereign debt risk, risk of investing in convertible bonds, risk associated with investment in contingent convertible bonds, and “dim Sum” bond market risk.
  • The Sub-Fund’s investment in equity securities is subject to general market risks, whose value may fluctuate due to various factors, such as changes in investment sentiment, political and economic conditions and issuer-specific factors.
  • The Sub-Fund may use financial derivative instruments for investment, hedging, risk management, and efficient portfolio management purpose. The use of such derivatives exposes the Sub-Fund to additional risks. The leverage element/component of an FDI can result in a loss significantly greater than the amount invested in the derivative by the Sub-Fund. Moreover, the use of financial derivative instruments for hedging may become ineffective, and the Sub-Fund may suffer substantial loss. Exposure to derivatives may lead to a high risk of significant loss by the Sub-Fund.
  • Underlying investments of the Sub-Fund may be denominated in currencies other than the base currency of the Sub-Fund. Also, a class of Shares of the Sub-Fund may be designated in a currency other than the base currency of the Sub-Fund. The NAV of the Sub-Fund may be affected unfavourably by fluctuations in the exchange rates between these currencies and the base currency and by changes in exchange rate controls.
  • Dividends on Class A HKD – MDis and Class A USD - MDis may be distributable out of capital or effectively out of capital (i.e. where the Sub-Fund pays dividends out of gross income and charges/pays all or part of the fees and expenses to/out of capital resulting in an increase in distributable income). Payment of dividends out of capital or effectively out of capital amounts to a return or withdrawal of part of an investor’s original investment or from any capital gains attributable to that original investment. Any distributions involving payment of dividends out of capital or effectively out of capital may result in an immediate reduction of the NAV per Share of the relevant class. The Manager may amend its distribution policy subject to SFC’s prior approval and by giving not less than 1 month’s prior notice to Unitholders.
This material has not been reviewed by the Securities and Futures Commission.
  • FUND INFORMATION
  • PERFORMANCE
  • PORTFOLIO
  • DISTRIBUTION
  • FUND LITERATURE
  • DISTRIBUTORS
  • RELATED

FUND INFORMATION

KEY INFORMATION
Fund Manager
Bosera Asset Management (International) Co., Limited
Open-ended Fund Company
Bosera Global Public Funds Series Open-ended Fund Company
Launch Date
29 December 2021
Base Currency
USD
Subscription Fee
Class A & Class I: Up to 3%Class S*: Nil
Management Fee
Class A: 1.50% p.a.Class I: 1.00% p.a.Class S*: Nil
Performance Fee^
Nil
Min. Initial Investment
Class A HKD & Class A HKD – MDis: HKD 500Class A RMB , Class A RMB Hedged & Class A RMB Hedged - MDis: RMB 500Class A USD & Class A USD – MDis: USD 100Class I HKD: HKD 5,000,000Class I RMB & Class I RMB Hedged: RMB 5,000,000Class I USD: USD 1,000,000Class S USD*: USD 1
Min. Subsequent Investment
Class A HKD & Class A HKD – MDis: HKD 50Class A RMB , Class A RMB Hedged & Class A RMB Hedged - MDis: RMB 50Class A USD & Class A USD – MDis: USD 10Class I HKD: HKD 50,000Class I RMB & Class I RMB Hedged: RMB 50,000Class I USD: USD 10,000Class S USD*: USD 1
Distribution Policy^
Class A (except for Class A USD – MDis , Class A HKD – MDis & Class A RMB Hedged - MDis) & Class I & Class S: Discretionary (if any)Class A HKD – MDis , Class A USD – MDis & Class A RMB Hedged - MDis: Dividends will be distributed on a monthly basis subject to the Manager’s discretion.
FUND OBJECTIVE
The Sub-Fund aims to achieve income and capital appreciation through primarily investing in fixed income securities and seeks to enhance the return through partially investing in equity securities with a Greater China focus. There can be no assurance that the Sub-Fund will achieve its investment objective.
SHARE CLASS DETAIL
TypeISINBloomberg Ticker
Class A HKDDistributionHK0000806171BOERBAH HK
Class A HKD – MDisMonthly DistributionHK0000806189BOERBHK HK
Class A RMBDistributionHK0000806197BOERBAR HK
Class A RMB HedgedDistributionHK0000806205BOERBRM HK
Class A RMB Hedged - MDisMonthly DistributionHK0000866597BOEARMB HK
Class A USDDistributionHK0000806213BOERBAU HK
Class A USD - MDisMonthly DistributionHK0000806221BOERBAM HK
Class I HKDDistributionHK0000806239BOERBIH HK
Class I RMBDistributionHK0000806247BOERBCN HK
Class I RMB HedgedDistributionHK0000806254BOERBIR HK
Class I USDDistributionHK0000806262BOERBIU HK
Class S USD*DistributionHK0000806270BOERBSU HK
Type
Class A HKDDistribution
Class A HKD – MDisMonthly Distribution
Class A RMBDistribution
Class A RMB HedgedDistribution
Class A RMB Hedged - MDisMonthly Distribution
Class A USDDistribution
Class A USD - MDisMonthly Distribution
Class I HKDDistribution
Class I RMBDistribution
Class I RMB HedgedDistribution
Class I USDDistribution
Class S USD*Distribution
*Class S shares are available for subscription by the following categories of investors:
1.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 their Connected Persons) and repackaging notes; and
2.current employees of the Manager/the or their affiliates at the time of subscription who submit dealing orders directly without going through any distribution channels.
The Manager will determine a person’s eligibility to subscribe for Class S Shares and will have the absolute discretion to decline any subscription application for Class S Shares as it sees fit.

^ 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 (“NAV”) per share of the Sub-Fund (“Share”).

PERFORMANCE

基金表現截至 04/12/2024
1Y
類別A美元類別I美元類別A美元–每月分派類別S美元類別A人民幣類別A港元類別A港元-每月分派
類別A美元
日期單位淨值每日變化累積單位淨值
04/12/202410.24530.013210.2453
03/12/202410.2321-0.002410.2321
02/12/202410.23450.004010.2345
29/11/202410.23050.025710.2305
28/11/202410.20480.005210.2048
27/11/202410.19960.006010.1996
26/11/202410.19360.011810.1936
25/11/202410.18180.012710.1818
22/11/202410.1691-0.001010.1691
21/11/202410.1701-0.003410.1701
日期 單位淨值
04/12/202410.2453
03/12/202410.2321
02/12/202410.2345
29/11/202410.2305
28/11/202410.2048
27/11/202410.1996
26/11/202410.1936
25/11/202410.1818
22/11/202410.1691
21/11/202410.1701
累積表現 % (以類別貨幣計算)截至 30/11/2024
基金類別年初至今3個月1年3年5年成立至今
類別A美元3.960.826.79--2.31
類別I美元4.450.947.32--4.04
類別A美元–每月分派3.970.816.79--2.09
類別S美元5.521.218.54--6.02
類別A人民幣5.883.158.43--16.56
類別A港元-每月分派3.600.576.41--2.37
基金類別 年初至今
類別A美元3.96
類別I美元4.45
類別A美元–每月分派3.97
類別S美元5.52
類別A人民幣5.88
類別A港元-每月分派3.60
累積表現由2021年12月29日成立以來計算。
年度表現 % (以類別貨幣計算)截至 30/11/2024
基金類別2024202320222021^2020
類別A美元3.961.86-3.39--
類別I美元4.453.58-3.80--
類別A美元–每月分派3.971.87-3.60--
類別S美元5.523.42-2.84--
類別A人民幣5.884.615.24--
類別A港元-每月分派3.601.93-3.07--
基金類別 2024
類別A美元3.96
類別I美元4.45
類別A美元–每月分派3.97
類別S美元5.52
類別A人民幣5.88
類別A港元-每月分派3.60
^2021基金年度表現是從2021年12月29日(基金成立日)開始計算。
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))。

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。

PORTFOLIO

行業配置
五大投資項目截至 31/10/2024
HKINTL 5 1/4 01/11/53
AACTEC 2 5/8 06/02/26
SANLTD 2.3 03/08/27
TENCNT 3.94 04/22/61
T 4 5/8 05/15/54

DISTRIBUTION

派息記錄
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
類別A美元–每月分派29/11/202402/12/202405/12/20240.0484(美元)0.0269(美元)0.0215(美元)
類別A港元-每月分派29/11/202402/12/202405/12/20240.0490(港幣)0.0097(港幣)0.0393(港幣)
類別A美元–每月分派31/10/202401/11/202406/11/20240.0484(美元)0.0000(美元)0.0484(美元)
類別A港元-每月分派31/10/202401/11/202406/11/20240.0490(港幣)0.0000(港幣)0.0490(港幣)
類別A美元–每月分派30/09/202408/10/202414/10/20240.0484(美元)0.0484(美元)0.0000(美元)
類別A港元-每月分派30/09/202408/10/202414/10/20240.0490(港幣)0.0490(港幣)0.0000(港幣)
類別A美元–每月分派30/08/202402/09/202405/09/20240.0484(美元)0.0313(美元)0.0171(美元)
類別A港元-每月分派30/08/202402/09/202405/09/20240.0490(港幣)0.0468(港幣)0.0022(港幣)
類別A美元–每月分派31/07/202401/08/202406/08/20240.0484(美元)0.0000(美元)0.0484(美元)
類別A港元-每月分派31/07/202401/08/202406/08/20240.0490(港幣)0.0307(港幣)0.0183(港幣)
類別A美元–每月分派28/06/202402/07/202405/07/20240.0484(美元)0.0000(美元)0.0484(美元)
類別A港元-每月分派28/06/202402/07/202405/07/20240.0490(港幣)0.0000(港幣)0.0490(港幣)
類別A美元–每月分派31/05/202403/06/202406/06/20240.0484(美元)0.0000(美元)0.0484(美元)
類別A港元-每月分派31/05/202403/06/202406/06/20240.0490(港幣)0.0000(港幣)0.0490(港幣)
類別A美元–每月分派30/04/202406/05/202409/05/20240.0484(美元)0.0000(美元)0.0484(美元)
類別A港元-每月分派30/04/202406/05/202409/05/20240.0490(港幣)0.0000(港幣)0.0490(港幣)
類別A美元–每月分派28/03/202402/04/202409/04/20240.0484(美元)0.0000(美元)0.0484(美元)
類別A港元-每月分派28/03/202402/04/202409/04/20240.0490(港幣)0.0000(港幣)0.0490(港幣)
類別A美元–每月分派29/02/202401/03/202406/03/20240.0484(美元)0.0000(美元)0.0484(美元)
類別A港元-每月分派29/02/202401/03/202406/03/20240.0490(港幣)0.0000(港幣)0.0490(港幣)
類別A美元–每月分派31/01/202401/02/202406/02/20240.0484(美元)0.0000(美元)0.0484(美元)
類別A港元-每月分派31/01/202401/02/202406/02/20240.0490(港幣)0.0000(港幣)0.0490(港幣)
類別A美元–每月分派29/12/202302/01/202405/01/20240.0450(美元)0.0000(美元)0.0450(美元)
類別A港元-每月分派29/12/202302/01/202405/01/20240.0450(港幣)0.0000(港幣)0.0450(港幣)
類別A美元–每月分派30/11/202301/12/202306/12/20230.0450(美元)0.0000(美元)0.0450(美元)
類別A港元-每月分派30/11/202301/12/202306/12/20230.0450(港幣)0.0000(港幣)0.0450(港幣)
類別A美元–每月分派31/10/202301/11/202306/11/20230.0450(美元)0.0000(美元)0.0450(美元)
類別A港元-每月分派31/10/202301/11/202306/11/20230.0450(港幣)0.0000(港幣)0.0450(港幣)
類別A美元–每月分派28/09/202310/10/202313/10/20230.0450(美元)0.0000(美元)0.0450(美元)
類別A港元-每月分派28/09/202310/10/202313/10/20230.0450(港幣)0.0000(港幣)0.0450(港幣)
類別A美元–每月分派31/08/202304/09/202307/09/20230.0450(美元)0.0000(美元)0.0450(美元)
類別A港元-每月分派31/08/202304/09/202307/09/20230.0450(港幣)0.0000(港幣)0.0450(港幣)
類別A美元–每月分派31/07/202301/08/202304/08/20230.0450(美元)0.0000(美元)0.0450(美元)
類別A港元-每月分派31/07/202301/08/202304/08/20230.0450(港幣)0.0000(港幣)0.0450(港幣)
類別A美元–每月分派30/06/202303/07/202306/07/20230.0450(美元)0.0000(美元)0.0450(美元)
類別A港元-每月分派30/06/202303/07/202306/07/20230.0450(港幣)0.0000(港幣)0.0450(港幣)
類別A美元–每月分派31/05/202301/06/202306/06/20230.0450(美元)0.0000(美元)0.0450(美元)
類別A港元-每月分派31/05/202301/06/202306/06/20230.0450(港幣)0.0000(港幣)0.0450(港幣)
類別A美元–每月分派28/04/202304/05/202309/05/20230.0450(美元)0.0000(美元)0.0450(美元)
類別A港元-每月分派28/04/202304/05/202309/05/20230.0450(港幣)0.0000(港幣)0.0450(港幣)
類別A美元–每月分派31/03/202303/04/202311/04/20230.0450(美元)0.0000(美元)0.0450(美元)
類別A港元-每月分派31/03/202303/04/202311/04/20230.0450(港幣)0.0000(港幣)0.0450(港幣)
類別A美元–每月分派28/02/202301/03/202306/03/20230.0450(美元)0.0000(美元)0.0450(美元)
類別A港元-每月分派28/02/202301/03/202306/03/20230.0450(港幣)0.0000(港幣)0.0450(港幣)
類別A美元–每月分派31/01/202301/02/202306/02/20230.0450(美元)0.0393(美元)0.0057(美元)
類別A港元-每月分派31/01/202301/02/202306/02/20230.0450(港幣)0.0450(港幣)0.0000(港幣)
類別A美元–每月分派30/12/202203/01/202306/01/20230.0333(美元)0.0000(美元)0.0333(美元)
類別A港元-每月分派30/12/202203/01/202306/01/20230.0333(港幣)0.0000(港幣)0.0333(港幣)
類別A美元–每月分派30/11/202201/12/202206/12/20220.0333(美元)0.0000(美元)0.0333(美元)
類別A港元-每月分派30/11/202201/12/202206/12/20220.0333(港幣)0.0000(港幣)0.0333(港幣)
類別A美元–每月分派31/10/202201/11/202204/11/20220.0333(美元)0.0000(美元)0.0333(美元)
類別A港元-每月分派31/10/202201/11/202204/11/20220.0333(港幣)0.0000(港幣)0.0333(港幣)
類別A美元–每月分派30/09/202210/10/202213/10/20220.0333(美元)0.0000(美元)0.0333(美元)
類別A港元-每月分派30/09/202210/10/202213/10/20220.0333(港幣)0.0000(港幣)0.0333(港幣)
類別A美元–每月分派31/08/202201/09/202206/09/20220.0333(美元)0.0000(美元)0.0333(美元)
類別A港元-每月分派31/08/202201/09/202206/09/20220.0333(港幣)0.0000(港幣)0.0333(港幣)
類別A美元–每月分派29/07/202201/08/202204/08/20220.0333(美元)0.0000(美元)0.0333(美元)
類別A港元-每月分派29/07/202201/08/202204/08/20220.0333(港幣)0.0000(港幣)0.0333(港幣)
類別A美元–每月分派30/06/202204/07/202207/07/20220.0333(美元)0.0000(美元)0.0333(美元)
類別A港元-每月分派30/06/202204/07/202207/07/20220.0333(港幣)0.0000(港幣)0.0333(港幣)
類別A美元–每月分派31/05/202201/06/202207/06/20220.0333(美元)0.0000(美元)0.0333(美元)
類別A港元-每月分派31/05/202201/06/202207/06/20220.0333(港幣)0.0000(港幣)0.0333(港幣)
類別A美元–每月分派29/04/202205/05/202211/05/20220.0333(美元)0.0000(美元)0.0333(美元)
類別A港元-每月分派29/04/202205/05/202211/05/20220.0333(港幣)0.0000(港幣)0.0333(港幣)
類別A美元–每月分派31/03/202201/04/202208/04/20220.0333(美元)0.0000(美元)0.0333(美元)
類別A港元-每月分派31/03/202201/04/202208/04/20220.0333(港幣)0.0000(港幣)0.0333(港幣)
類別A美元–每月分派28/02/202201/03/202204/03/20220.0333(美元)0.0000(美元)0.0333(美元)
類別基金 記錄日
類別A美元–每月分派29/11/2024
類別A港元-每月分派29/11/2024
類別A美元–每月分派31/10/2024
類別A港元-每月分派31/10/2024
類別A美元–每月分派30/09/2024
類別A港元-每月分派30/09/2024
類別A美元–每月分派30/08/2024
類別A港元-每月分派30/08/2024
類別A美元–每月分派31/07/2024
類別A港元-每月分派31/07/2024
類別A美元–每月分派28/06/2024
類別A港元-每月分派28/06/2024
類別A美元–每月分派31/05/2024
類別A港元-每月分派31/05/2024
類別A美元–每月分派30/04/2024
類別A港元-每月分派30/04/2024
類別A美元–每月分派28/03/2024
類別A港元-每月分派28/03/2024
類別A美元–每月分派29/02/2024
類別A港元-每月分派29/02/2024
類別A美元–每月分派31/01/2024
類別A港元-每月分派31/01/2024
類別A美元–每月分派29/12/2023
類別A港元-每月分派29/12/2023
類別A美元–每月分派30/11/2023
類別A港元-每月分派30/11/2023
類別A美元–每月分派31/10/2023
類別A港元-每月分派31/10/2023
類別A美元–每月分派28/09/2023
類別A港元-每月分派28/09/2023
類別A美元–每月分派31/08/2023
類別A港元-每月分派31/08/2023
類別A美元–每月分派31/07/2023
類別A港元-每月分派31/07/2023
類別A美元–每月分派30/06/2023
類別A港元-每月分派30/06/2023
類別A美元–每月分派31/05/2023
類別A港元-每月分派31/05/2023
類別A美元–每月分派28/04/2023
類別A港元-每月分派28/04/2023
類別A美元–每月分派31/03/2023
類別A港元-每月分派31/03/2023
類別A美元–每月分派28/02/2023
類別A港元-每月分派28/02/2023
類別A美元–每月分派31/01/2023
類別A港元-每月分派31/01/2023
類別A美元–每月分派30/12/2022
類別A港元-每月分派30/12/2022
類別A美元–每月分派30/11/2022
類別A港元-每月分派30/11/2022
類別A美元–每月分派31/10/2022
類別A港元-每月分派31/10/2022
類別A美元–每月分派30/09/2022
類別A港元-每月分派30/09/2022
類別A美元–每月分派31/08/2022
類別A港元-每月分派31/08/2022
類別A美元–每月分派29/07/2022
類別A港元-每月分派29/07/2022
類別A美元–每月分派30/06/2022
類別A港元-每月分派30/06/2022
類別A美元–每月分派31/05/2022
類別A港元-每月分派31/05/2022
類別A美元–每月分派29/04/2022
類別A港元-每月分派29/04/2022
類別A美元–每月分派31/03/2022
類別A港元-每月分派31/03/2022
類別A美元–每月分派28/02/2022

# 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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