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SEI Asset Allocation Trust Conservative Strategy Fund Class D

SEI Asset Allocation Trust Conservative Strategy Fund Class D

SSTDX Β· NMFQS
SSTDX Β· NMFQS
10.91
USD0.030.28%
SEI Asset Allocation Trust Conservative Strategy Fund Class D
SSTDX
10.91
USD0.030.28%

Berat Sektor

Sektor
Peratus Ekuiti
Kategori Purata
Teknologi
25.07%
26.75%
Penjagaan kesihatan
15.29%
8.98%
Defensif Pengguna
11.94%
4.62%
Kewangan
10.82%
16.46%
Perkhidmatan Komunikasi
9.95%
8.59%
Perindustrian
8.69%
11.40%
Siklikal Pengguna
5.99%
9.56%
Tenaga
5.45%
3.84%
Utiliti
3.72%
2.63%
Kerajaan
3.72%
39.93%
Perbandaran
3.72%
4.15%
Korporat
3.72%
21.43%
Disekuritikan
3.72%
16.61%
Tunai dan Setara
3.72%
11.61%
Derivatif
3.72%
6.26%
Bahan Asas
1.78%
3.62%
Hartanah
1.29%
3.54%

Wilayah Dunia

Wilayah
Peratus Ekuiti
Kategori Purata
Amerika Utara
63.48%
71.94%
Eropah Terbangun
12.46%
10.04%
Jepun
6.86%
4.54%
Asia Terbangun
4.69%
4.49%
Asia Muncul
4.19%
3.16%
United Kingdom
3.70%
3.34%
Australasia
1.92%
0.99%
Afrika/Tengah Timur
1.26%
0.69%
Amerika Latin
1.17%
0.65%
Eropah Muncul
0.28%
0.16%

Modal Pasaran

Saiz
Portfolio
Kategori Purata
Penanda aras
AverageMarketCap
102.19K USD
172.81K USD
82.22K USD
Large
9.96%
4.71%
8.23%
Giant
9.07%
7.61%
5.82%
Medium
6.46%
3.24%
4.12%
Small
1.70%
1.03%
1.28%
Micro
0.24%
0.33%
0.02%

Penilaian dan Pertumbuhan

Kadar Pertumbuhan
SSTDX.US
Kategori Purata
Harga/Keuntungan Prospektif
16.29%
19.13%
Harga/Aliran Tunai
10.42%
12.84%
Harga/Buku
2.69%
3.10%
Hasil Dividen
2.37%
1.64%
Harga/Jualan
1.53%
2.37%
Kadar Penilaian
SSTDX.US
Kategori Purata
Pendapatan Jangka Panjang
8.78%
11.28%
Pendapatan Sejarah
7.52%
25.34%
Pertumbuhan Aliran Tunai
6.43%
8.54%
Pertumbuhan Jualan
5.38%
1.03%
Pertumbuhan Nilai Buku
5.10%
-37.59%

Soalan Lazim

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