ProShares Investment Grade-Interest Rate HedgedProShares Investment Grade-Interest Rate HedgedProShares Investment Grade-Interest Rate Hedged

ProShares Investment Grade-Interest Rate Hedged

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Statistik utama

Assets under management (AUM)
‪281.60 M‬USD
Aliran dana (1T)
‪−94.18 M‬USD
Hasil dividen (dinyatakan)
5.04%
Diskaun/Premium kepada NAV
−0.05%

Mengenai ProShares Investment Grade-Interest Rate Hedged

Pengeluar
ProShare Advisors LLC
Jenama
ProShares
Nisbah perbelanjaan
0.30%
Laman Utama
Tarikh penubuhan
5 Nov 2013
Indeks dijejak
FTSE Corporate Investment Grade (Treasury Rate-Hedged) Index
Gaya pengurusan
Pasif
ISIN
US74347B6074

Pengelasan

Kelas Aset
Pendapatan tetap
Kategori
Korporat, menyeluruh
Fokus
Gred pelaburan
Niche
Kematangan luas
Strategi
Tempoh dilindungi nilai
Skim pemberat
Nilai pasaran
Kriteria pemilihan
Nilai pasaran
Apa dalam dana
Jenis pendedahan
Bon, Tunai & Lain-lain
Korporat
Bon, Tunai & Lain-lain100.00%
Korporat93.70%
Tunai5.87%
Securitized0.43%
Kesimpulan dari cadangan penunjuk.
Pengayun
Neutral
JualBeli
Jual KuatBeli Kuat
Jual KuatJualNeutralBeliBeli Kuat
Pengayun
Neutral
JualBeli
Jual KuatBeli Kuat
Jual KuatJualNeutralBeliBeli Kuat
Ringkasan
Neutral
JualBeli
Jual KuatBeli Kuat
Jual KuatJualNeutralBeliBeli Kuat
Ringkasan
Neutral
JualBeli
Jual KuatBeli Kuat
Jual KuatJualNeutralBeliBeli Kuat
Ringkasan
Neutral
JualBeli
Jual KuatBeli Kuat
Jual KuatJualNeutralBeliBeli Kuat
Moving Averages
Neutral
JualBeli
Jual KuatBeli Kuat
Jual KuatJualNeutralBeliBeli Kuat
Moving Averages
Neutral
JualBeli
Jual KuatBeli Kuat
Jual KuatJualNeutralBeliBeli Kuat