The fund seeks its investment objective by investing in securities, derivatives and other instruments to establish long and short investment exposures around the world. Total return is defined as income plus capital appreciation. It normally invests in multiple countries and frequently has significant exposure to foreign currencies and investments. The fund's long and short investments are primarily sovereign exposures, including currencies, interest rates and debt instruments issued or guaranteed by sovereign entities. It is non-diversified.
06 5月 2025現在、最大の保有資産はGlobal Macro Portfolio, Global Macro Portfolio, Global Macro Portfolio, Global Macro Portfolio, Global Macro Portfolio, Global Macro Portfolioを含みます。EIGMX ファンドの保有資産の完全なリストを確認してください。
EIGMX ファンドの保有資産は何ですか?
EIGMX ファンドは10の保有資産で構成されており、Global Macro Portfolio, Global Macro Portfolio, Global Macro Portfolioなどが含まれます。EIGMX ファンドの保有資産の完全なリストを確認してください。