2026年1月5日,Amundi报告说,一些UCITS电子信托基金的NAV涉及全球、联合王国和新兴市场资产,具有不同的套期保值和分配特征。
On January 5, 2026, Amundi reported NAVs for several UCITS ETFs covering global, UK, and emerging market assets with varying hedging and distribution features.
2026年1月5日,报告了一系列Amundi UCITS ETF的净资产价值(NAVs),包括侧重于全球和英国与通货膨胀挂钩的政府债券、欧元通货膨胀预期、新兴市场、澳大利亚股票和全球政府债券的资金,货币套期保值和分配办法各有不同。
On January 5, 2026, the net asset values (NAVs) were reported for a range of Amundi UCITS ETFs, including funds focused on global and UK inflation-linked government bonds, euro inflation expectations, emerging markets, Australian equities, and global government bonds, with variations in currency hedging and distribution options.