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StarBright Global Bond Fund

Accumulated Net:
Locking
ARR(ITD):
Locking
ITD Drawdown:
0.00%
Fund Status
Onboarding
Investment Strategy
Bond
Launch Date
2015-07-28
Fund Manager
Investment Benchmark
Bloomberg Barclays Global Aggregate Bond Index
Structure
Fixed Income Investing
Base Currency
USD
AUM
125M~200M
Investment Scope
The Star Global Bond Fund primarily invests in the global bond market, including but not limited to government bonds, corporate bonds, convertible bonds, and other fixed-income financial instruments. The fund aims to seek stable returns and manage risk through diversified investment strategies, investing in a variety of bond maturities, credit qualities, and regions to achieve a global asset allocation.
Investment Restrictions
The fund will not directly purchase equity assets such as stocks and warrants from the secondary market but may participate in the initial public offering or follow-on offerings in the primary market. The proportion of bond investments in the total fund assets shall not be less than 80%, with the investment in convertible bonds not exceeding 20%. The fund will maintain a lower duration level to mitigate the impact of market interest rate fluctuations on the fund's net value. To control risk, the fund's leverage ratio will not exceed 140%, and it will refrain from speculative operations using derivatives. The fund will comply with the provisions of the fund contract and relevant laws and regulations, avoiding investment in restricted or prohibited bond types.
Fund performance
Fund Information
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