聯博美國收益基金 - 投資

By Franklin
at 2008-10-27T14:37
at 2008-10-27T14:37
Table of Contents
大約兩年前買了聯博美國收益基金
兩年來隨著美國景氣變差此支基金的淨值大概也都在-5~-8%跳動
相對於其他類型基金感覺起來是穩定的
但是從九月中到現在約一個月淨值就從8一路掉到6點多
掉了快20%
他的資產配置
代理商不動產抵押擔保證券 20.00%
新興市場政府債 20.00%
美國高收益債 15.00%
美國國庫券 14.00%
新興市場公司債 11.00%
美國公司債 9.00%
商用不動產抵押擔保證券 7.00%
銀行貸款 3.00%
想請問版上的大大,會跌成這樣跟美國那兩家房地產公司倒閉
雷曼事件有絕對的關係嗎?
因為此基金對於不動產的投資---不動產抵押擔保證券佔了快30%
其他是政府債及公司債....
如果這筆錢是閒錢
建議續抱嗎?
請鞭小力一點.......感謝指教
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All Comments

By Michael
at 2008-10-27T23:20
at 2008-10-27T23:20

By Blanche
at 2008-11-01T10:08
at 2008-11-01T10:08

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at 2008-11-03T07:40
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at 2008-11-14T02:15
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at 2008-11-14T07:49
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at 2008-11-19T05:56
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at 2008-11-23T10:53
at 2008-11-23T10:53
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