Senarai ini adalah analisis berdasarkan peristiwa pasaran terkini. Ia bukan cadangan pelaburan.
Perihal
The fund typically allocates a minimum of 80% of its total assets (including any capital acquired through borrowing for investment) to a diverse array of bonds and other fixed-income securities. Its primary holdings consist of corporate bonds, U.S. Treasury securities, and debt instruments from supranational organizations, with a strong emphasis placed on corporate debt. The portfolio may also incorporate obligations from U.S. government agencies, mortgage-backed securities (both commercial and residential), and various other asset-backed securities. While the majority of its investments are in domestic securities, a smaller portion may be allocated to U.S. dollar-denominated foreign securities.
Berapakah harga saham Parnassus Fixed Income Fund - Investor Shares hari ini?▼
Harga semasa PRFIX ialah $14.72 USD — telah meningkat sebanyak +0.14% dalam 24 jam yang lalu. Pantau prestasi harga saham Parnassus Fixed Income Fund - Investor Shares dengan lebih dekat pada carta.
Apakah simbol saham Parnassus Fixed Income Fund - Investor Shares?▼
Bergantung pada bursa, simbol saham mungkin berbeza. Sebagai contoh, di bursa NASDAQ, saham Parnassus Fixed Income Fund - Investor Shares didagangkan di bawah simbol PRFIX.
Adakah Parnassus Fixed Income Fund - Investor Shares membayar dividen?▼
Ya, dividen PRFIX dibayar bulanan. Dividen terakhir bagi setiap saham ialah 14.72 USD. Setakat hari ini, Hasil Dividen (FWD)% ialah 103.52%.
Parnassus Fixed Income Fund - Investor Shares terletak dalam sektor apa?▼
Parnassus Fixed Income Fund - Investor Shares beroperasi dalam sektor Kewangan & Pembayaran.
Bilakah Parnassus Fixed Income Fund - Investor Shares menyiapkan split saham?▼
Parnassus Fixed Income Fund - Investor Shares tidak mempunyai sebarang split baru-baru ini.
Di manakah ibu pejabat Parnassus Fixed Income Fund - Investor Shares?▼
Ibu pejabat Parnassus Fixed Income Fund - Investor Shares terletak di San Francisco, Amerika Syarikat.