重要提示: 此網站僅供“專業投資者”進接(其定義根據香港法律《證券及期貨條例》(第571章)和/或《證券及期貨(專業投資者)規則》(第571D章)所載)。本網站上的基金未經證監會授權在香港公開發售。
篩選基金
尋找您的基金
重要提示: 此網站僅供“專業投資者”進接(其定義根據香港法律《證券及期貨條例》(第571章)和/或《證券及期貨(專業投資者)規則》(第571D章)所載)。本網站上的基金未經證監會授權在香港公開發售。
BP Global Premium Equities B EUR
ISIN: LU0203975197-0.42%6.11%16.72%11.46%315.48( )BP Global Premium Equities C EUR
ISIN: LU0940004830-0.26%6.38%17.44%12.16%302.70( )BP Global Premium Equities D EUR
ISIN: LU0203975437-0.41%6.12%16.73%11.47%607.00( )BP Global Premium Equities D HKD
ISIN: LU3106451845118.25( )BP Global Premium Equities D SGD
ISIN: LU3106451928119.46( )BP Global Premium Equities D USD
ISIN: LU0951559797-1.58%5.43%19.97%10.51%333.42( )BP Global Premium Equities DH EUR
ISIN: LU1549401203-1.29%5.26%18.18%9.97%223.84( )BP Global Premium Equities DH SGD
ISIN: LU3306722185110.26( )BP Global Premium Equities DH USD
ISIN: LU1260070781-0.66%6.25%21.03%12.44%295.60( )BP Global Premium Equities E USD
ISIN: LU1058974137-1.57%5.44%19.98%10.51%249.83( )BP Global Premium Equities F EUR
ISIN: LU1208675808-0.26%6.39%17.44%12.16%280.93( )BP Global Premium Equities F GBP
ISIN: LU1362999218-1.68%5.48%20.77%12.33%347.43( )BP Global Premium Equities F USD
ISIN: LU1058973592-1.42%5.70%20.72%11.20%311.00( )BP Global Premium Equities FH EUR
ISIN: LU1736383024-1.13%5.55%18.92%10.67%209.27( )BP Global Premium Equities I EUR
ISIN: LU0233138477-0.25%6.40%17.47%12.19%379.64( )BP Global Premium Equities I GBP
ISIN: LU1362999309-1.67%5.49%20.81%12.36%348.41( )BP Global Premium Equities I USD
ISIN: LU1048590118-1.41%5.72%20.75%11.23%314.04( )BP Global Premium Equities IB EUR
ISIN: LU1521667375-0.26%6.39%17.47%12.19%197.23( )BP Global Premium Equities IB GBP
ISIN: LU1533823289-1.67%5.49%20.81%12.37%219.34( )BP Global Premium Equities IH EUR
ISIN: LU1549401112-1.13%5.54%18.99%10.73%238.90( )BP Global Premium Equities KE GBP
ISIN: LU2408968852-1.66%5.51%20.87%164.79( )BP Global Premium Equities KE USD
ISIN: LU2408970320-1.40%5.74%20.82%164.93( )BP Global Premium Equities Z GBP
ISIN: LU2914528844-1.48%5.83%21.78%138.91( )
*根據基金章程所載,現價是以本基金的資產淨值,加以或減以與本基金交易成本相關的附加費或減費而得出。
有關荷寶其他基金的資料,請瀏覽我們的 全球網站。亦可聯絡香港銷售團隊:
電郵: robecohongkong@robeco.com
電話:+852 3719 7400



