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未来资产中国龙头股票基金 A类美元 (0P0000KN7F)

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14.910 +0.040    +0.27%
25/06 - 闭盘. USD 货币 ( 免责声明 )
类型:  基金
市场:  卢森堡
发行商:  Mirae Asset Global Investments (HK) Ltd
ISIN:  LU0336295752 
资产类别:  股票
  • 晨星评级:
  • 总资产: 1.72M
Mirae Asset Global Discovery Fund - China Sector L 14.910 +0.040 +0.27%

0P0000KN7F概述

 
本页面提供未来资产中国龙头股票基金 A类美元的详细介绍,帮助您了解0P0000KN7F的高管、总资产、投资策略和联系方式等信息。
种类

中國股票

总资产

1.72M

费用

3.60%

开始日期

2009年9月2日

投资策略

未来资产中国龙头股票基金主要目标乃透过相关股票组合以美元计算的资本增值,达致基金价格长线增长。主要投资经理透过集中投资于中国及香港注册或从事大部分经济活动的行业龙头公司股票及股票相关证券,从而实践子基金的目标。于中国A股的直接投资将透过沪/深港通进行,并可达子基金的资产净值的100%。此外,于在中国发行的证券之直接投资将透过合资格 境外投资者制度进行,并可达子基金的资产净值的70%以下。于ucits及/或uci的单位或股份作出的投资合共不可多于子基金的资产净值的10%。子基金以美元为参考货币。诚如基金说明书允许及根据其规定,子基金仅可出于有效投资组合管理和对冲目的使用金融衍生工具(例如指数期货及外汇掉期),以 及采用相关技术和工具。子基金采用主动管理,并以 MSCI 中国全股指数(「指标」)作为参考,务求超越该指数的表现。子基金的组合或会偏离指标,而偏离程 度并不受限制。

联络信息

地址 Jongno-gu
Hong Kong,- -
Hong Kong
电话 +852 22951500

高管

名称 标题 任期
Daniel Zhou - 2021 now
Phil S. Lee - 2019 now
Rahul Chadha Chief Investment Officer/PM 2021 2021
背景介紹 Rahul Chadha is the Chief Investment Officer of Mirae Asset Global Investments (Hong Kong) and a key member of the firm’s investment committee. He is also a portfolio manager on the Emerging Markets Fund and Asia Fund, which he has managed since the funds’ inception. Prior to joining Mirae Asset in 2006, Mr. Chadha was a senior equity analyst for two years at Standard Chartered Mutual Funds, where he was responsible for sector coverage in India. He also served as a senior research analyst at Aviva Life Insurance from 2003 to 2005. Mr. Chadha began his career in financial services in 1999 as a research analyst covering Indian equities at Dundee Mutual Funds. Mr. Chadha holds a Master of Finance and Control degree and a Bachelor of Business Studies degree from the University of Delhi. He is based in Hong Kong and is fluent in Hindi.
Wei Wei Chua Portfolio Manager 2019 2021
背景介紹 Investment career commenced in 2009 and joined Schroders in 2021. Currently managing Sustainable Asian Equities strategy and based in Hong Kong. Wei Wei joined Schroders from Mirae Asset Management where he managed China and Regional portfolios, as well as a senior investment analyst covering Industrials, Telecoms and Autos sectors (2014 –2021). Prior to this, Wei Wei was a senior research associate at Citigroup Global Markets Asia covering the Hong Kong/China Consumer sectors (2011 – 2014). His investment career began in 2009 with Allianz Global Investors (formerly Allianz-RCM Asia Pacific), where he was a Research Associate for the Global Equities team. BSc (Hons) majoring in Accounting and Finance from The London School of Economics and Political Science (LSE), London. He is also a Certified Public Accountant (CPA) and Certified Environmental, Social and Governance Analyst (CESGA).
Byung-Ha Kim Senior Portfolio Manager 2012 2019
背景介紹 Byung-Ha Kim is a Senior Portfolio Manager and Associate Director of Mirae Asset Global Investments (Hong Kong). He manages investments in China and other Asian markets. He has over twelve of experience in capital markets and fund management in Korea. Prior to joining Mirae Asset, he served as a strategist at the research entity of Mirae Asset Global Investments in Seoul. He began his professional career as an Analyst and Portfolio Manager covering the Korean stock market. Mr. Kim graduated with a Bachelor of Business Administration degree from Seoul National University, and is fluent in Korean.
Cong Li CIO (Chief Investment Officer) 2008 2012
背景介紹 Cong Li is Chief Investment Officer with Mirae Asset Global Investments (Hong Kong) and Head of China Investment and Research Team. He manages key Mirae Asset portfolios, including the China Equity Funds, and supervises a team that oversees a range of Asia-Pacific products, including country, regional and sector funds. Prior to joining Mirae Asset, Dr. Li was a Fund Manager at Hong Kong-based Hamon Investment Group with responsibility for stock selection in Greater China equity markets. He is also known as one of the few pioneering fund managers in China’s domestic equity market. Dr. Li started his investment management career at Hua Yin International Trust & Investment Company in 1994 as an Investment Manager covering equities, fixed income and commodity futures. He subsequently left to join Shanghai-based Hua An Fund Management Company in 1998, where he managed three styles of funds in the China markets. He was named as one of China’s top star fund managers by New Fortune Magazine in 2002 for consistent, outstanding performance. Mr. Li holds a Chartered Public Accountant qualification in China, a PhD in Business Administration from Shanghai Jiao Tong University (China) and Master’s and Bachelor’s degrees in Public Administration from Columbia University, and is fluent in Mandarin.
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