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PIMCO International Bond Fund (U.S. Dollar-Hedged) Class I-3

PIMCO International Bond Fund (U.S. Dollar-Hedged) Class I-3

PFONX · NMFQS
PFONX · NMFQS
9.89
USD-0.01-0.10%
PIMCO International Bond Fund (U.S. Dollar-Hedged) Class I-3
PFONX
9.89
USD-0.01-0.10%

Rentang Hari

9.89USD
9.89USD

52 Rentang Minggu

9.77USD
10.05USD

Total Aset

13B US Dollar

Berita Terbaru

    MarketWatch

    This ‘Trump trade’ could wreck U.S. housing finance, warns Pimco

      The Daily Hodl

      US Will Remain a Safe Haven As Dollar Touts Most Liquid Treasury Market in the World by an ‘Enormous Factor,’ Says Bond Behemoth PIMCO

        @Investingcom
        Investingcom

        *FORMER FED CHAIR AND U.S. TREASURY SECRETARY JANET YELLEN TO JOIN PIMCO GLOBAL ADVISORY BOARD: CNBC https://t.co/ehuFYD4mJx

          Cryptopolitan

          US recession probability up to 35% in 2025 – Pimco

            Forexlive

            Pimco cautious on Australia semi-govmt debt, concerns mount about states fiscal health

              CoinOtag

              PIMCO Insights: Market Focus on Federal Reserve Interest Rates Amid Economic Uncertainty and Trump’s Policies

              Tentang

              Informasi Umum

              Jenis

              FUND

              Menukarkan

              NMFQS

              Kode mata uang

              USD

              Nama Mata Uang

              US Dollar

              Nama negara

              USA

              ISO Negara

              US

              ADALAH

              US72202E4355

              CUSIP

              72202E435

              Keluarga Dana

              PIMCO

              Tanggal Mulai

              -

              Diperbarui Pada

              -

              Statistik Utama

              Aktiva bersih

              13B

              Bagikan Kekayaan Bersih Kelas

              108.2M

              Akhir Tahun Anggaran

              March

              Rasio Biaya

              0.9

              Tanggal Rasio Biaya

              -

              Alokasi aset

              % Panjang

              % Pendek

              % Aktiva bersih

              Kategori Rata-rata

              Tolok ukur

              Stok AS

              1.26%

              0.00%

              1.26%

              0.04%

              0.00%

              Saham Non AS

              0.00%

              0.14%

              -0.14%

              0.00%

              0.00%

              Kas

              170.77%

              219.69%

              -48.92%

              66.84%

              0.00%

              Tidak Diklasifikasikan

              0.00%

              0.00%

              0.00%

              0.17%

              0.07%

              Lainnya

              1.81%

              2.28%

              -0.47%

              0.10%

              0.00%

              Menjalin kedekatan

              287.17%

              138.90%

              148.27%

              113.68%

              99.93%

              Total

              461.01%

              361.01%

              100.00%

              180.82%

              100.00%

              FAQ

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