基金 |
3.2015 |
1.4.2014–31.3.2015 |
||
未經審核數據 |
指標回報 |
未經審核數據 |
指標回報 |
|
增長 |
0.26% |
–0.53% |
9.96% |
7.95% |
平衡 |
0.40% |
–0.77% |
8.89% |
4.51% |
穩定 |
–0.28% |
–0.94% |
2.42% |
–1.18% |
香港股票 |
1.57% |
1.59% |
15.25% |
16.30% |
香港指數 |
0.80% |
0.75% |
16.84% |
17.12% |
A50中國指數 |
10.05% |
11.38% |
78.89% |
89.11% |
港元銀行存款 |
0.09% |
0.00% |
1.31% |
0.02% |
美元銀行存款* |
0.06% |
–0.01% |
1.18% |
0.07% |
澳元銀行存款* |
–2.42% |
–2.52% |
–15.45% |
–17.30% |
歐元銀行存款* |
–4.25% |
–4.25% |
–21.99% |
–22.05% |
人民幣銀行存款* |
1.47% |
1.21% |
1.66% |
–1.05% |
強積金數據請按此。
*實際與指標回報已包括有關期間內之匯率變動