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PIMCO StocksPLUS® International Fund (Unhedged) Class C

PIMCO StocksPLUS® International Fund (Unhedged) Class C

PPUCX · NMFQS
PPUCX · NMFQS
9.44
USD-0.12-1.26%
PIMCO StocksPLUS® International Fund (Unhedged) Class C
PPUCX
9.44
USD-0.12-1.26%

Julat Hari

9.44USD
9.56USD

52 Julat Minggu

7.79USD
9.66USD

Jumlah Aset

180.3M US Dollar

Berita terkini

    CoinOtag

    Federal Reserve Holds Steady Amid Tariff Uncertainty, Pimco Strategist Tim Murray Predicts No Immediate Rate Cuts

      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

              Mengenai

              Maklumat Am

              taip

              FUND

              Pertukaran

              NMFQS

              Kod matawang

              USD

              Nama Mata Wang

              US Dollar

              Nama negara

              USA

              ISO negara

              US

              ADALAH DALAM

              US72201F5402

              CUSIP

              72201F540

              Keluarga Dana

              PIMCO

              Tarikh Permulaan

              -

              Dikemaskini Pada

              -

              Statistik Utama

              Aset Bersih

              180.3M

              Kongsi Aset Bersih Kelas

              1.4M

              Akhir Tahun Fiskal

              March

              Nisbah Perbelanjaan

              2.1

              Tarikh Nisbah Perbelanjaan

              -

              Peruntukan aset

              % Panjang

              % Pendek

              % Aset Bersih

              Kategori Purata

              Penanda aras

              Stok AS

              121.76%

              15.53%

              106.23%

              3.33%

              0.51%

              Bukan Saham AS

              0.00%

              6.20%

              -6.20%

              94.10%

              99.30%

              Tunai

              94.24%

              174.19%

              -79.95%

              7.51%

              0.00%

              Tidak Dikelaskan

              0.00%

              0.00%

              0.00%

              0.00%

              0.00%

              Lain-lain

              0.00%

              0.02%

              -0.02%

              1.53%

              0.20%

              Bond

              142.22%

              62.28%

              79.94%

              0.89%

              0.00%

              Jumlah

              358.22%

              258.22%

              100.00%

              107.37%

              100.00%

              Penilaian

              Penilaian

              -

              Penilaian Risiko

              -

              Nisbah Kemampanan

              -

              Kotak Gaya Ekuiti

              Saiz
              besar
              Pertengahan
              Kecil
              Gaya
              NilaiBlendPertumbuhan

              Soalan Lazim

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