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環球增長組合

過往表現

我們 Smart Beta 投資策略旨在提升你的投資組合,以隨時間推移跑贏市場。

環球增長組合
回報率(8年)

8.98

%

S&P TARGET RISK GROWTH (SPTGGU)
回報率(8年)

7.5

%

環球增長組合

SPTGGU

core equity100
core equity100
chart

此處顯⽰的過往回報僅供參考。計算⽅式為在扣除費⽤之前,且以美元為單位,除非另有說明。⾃2022年3月31日創立以來的過去回報基於模型投資組合回報,可能未完全考慮交易成本、稅務影響及時機影響。創立⽇期之前的過去回報基於我們內部的回測數據,並不保證未來的表現。

最後更新: 31 May 2023 14:30 SGT

core equity100
Past returns
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core equity100
Composition
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Technology Select Sector SPDR Fund

Stocks in US-listed technology companies such as Microsoft, Apple, Visa, Cisco, Intel etc

XLK
2.41 %
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iShares Core MSCI EM IMI UCITS ETF

Stocks in US-listed technology companies such as Microsoft, Apple, Visa, Cisco, Intel etc

XLK
2.41 %
arrow
Utilities Select Sector SPDR Fund

Stocks in US-listed technology companies such as Microsoft, Apple, Visa, Cisco, Intel etc

XLK
2.41 %
arrow
KraneShares CSI China Internet ETF

Stocks in US-listed technology companies such as Microsoft, Apple, Visa, Cisco, Intel etc

XLK
2.41 %
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iShares MSCI China ETF

Stocks in US-listed technology companies such as Microsoft, Apple, Visa, Cisco, Intel etc

XLK
2.41 %
period
% of portfolio
Apple Inc (AAPL)
4.56 %
Microsoft Corp (MSFT)
4.48 %
Alphabet Inc (GOOGL)
2.20 %
Nvidia Corp (NVDA)
2.11 %
Amazon.Com Inc (AMZN)
2.02 %
Tencent Holdings Ltd (700 HK)
1.77 %
Pepsi Co. (PEP)
1.39 %
period
%
Information Technology
11.57 %
Consumer Staples
13.81 %
Healthcare
13.16 %
Consumer Discretionary
12.77 %
Communication Services
9.96 %
Financials
8.29 %
Utilities
5.26 %
period
% of portfolio
US flag
United States
74.31 %
china flag
China
14.82 %
japan flag
Japan
1.88 %
UK flag
United Kingdom
1.24 %
flag
France
1.03 %

我們的

Smart Beta

投資策略

此投資組合旨在通過承擔國家和⾏業風險來提⾼風險調整後的回報。通過 Smart Beta 投資策略為你提⾼長期回報、降低波動性和提升投資多元化。

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