Senarai ini adalah analisis berdasarkan peristiwa pasaran terkini. Ia bukan cadangan pelaburan.
Perihal
This fund primarily allocates a substantial portion of its capital, specifically at least 80% of its net assets and any leveraged funds, to common stocks. It maintains a concentrated portfolio, typically holding shares in about 25 to 30 companies that the investment adviser identifies as having strong prospects for sustained long-term earnings expansion. While it has the flexibility to invest across all market capitalizations, its primary focus remains on well-established, large-capitalization companies. The portfolio is predominantly weighted towards U.S. equities; however, it permits an allocation of up to 25% of its assets to international stocks, which can include holdings in emerging markets. Notably, the fund operates as a non-diversified investment vehicle.
Berapakah harga saham BNY Mellon Focused Equity Opportunities Fund Class M Shares hari ini?▼
Harga semasa MFOMX ialah $14.75 USD — telah meningkat sebanyak +0% dalam 24 jam yang lalu. Pantau prestasi harga saham BNY Mellon Focused Equity Opportunities Fund Class M Shares dengan lebih dekat pada carta.
Apakah simbol saham BNY Mellon Focused Equity Opportunities Fund Class M Shares?▼
Bergantung pada bursa, simbol saham mungkin berbeza. Sebagai contoh, di bursa NASDAQ, saham BNY Mellon Focused Equity Opportunities Fund Class M Shares didagangkan di bawah simbol MFOMX.
Adakah BNY Mellon Focused Equity Opportunities Fund Class M Shares membayar dividen?▼
Ya, dividen MFOMX dibayar tahunan. Dividen terakhir bagi setiap saham ialah 14.75 . Setakat hari ini, Hasil Dividen (FWD)% ialah 0%.
BNY Mellon Focused Equity Opportunities Fund Class M Shares terletak dalam sektor apa?▼
BNY Mellon Focused Equity Opportunities Fund Class M Shares beroperasi dalam sektor Lain-lain.
Bilakah BNY Mellon Focused Equity Opportunities Fund Class M Shares menyiapkan split saham?▼
BNY Mellon Focused Equity Opportunities Fund Class M Shares tidak mempunyai sebarang split baru-baru ini.