이 목록은 SJLD.BOATS을(를) 팔로우하는 Stock Events 사용자들의 관심목록을 기반으로 합니다. 투자 권고가 아닙니다.
경쟁사
이 목록은 최근 시장 이벤트를 기반으로 한 분석입니다. 투자 권고가 아닙니다.
정보
SJLD primarily invests in short-term, investment-grade debt, with a focus on maintaining an average portfolio duration of two years or less. The strategy aims to optimize liquidity, manage risks, and provide stable, low-risk returns in a fluctuating interest rate environment. Portfolio selection emphasizes credit quality, liquidity, and sensitivity to interest rate changes. While the fund primarily invests in US government debt, it can allocate up to 5% of its assets to higher-risk securities, such as junk bonds and unrated debt. Additionally, the fund may hold cash equivalents and various fixed- and floating-rate instruments, including commercial paper, municipal securities, and repurchase agreements backed by government securities.