• 所有資產類別
  • 股票
  • 固定收益
  • 多元資產
  • 所有地區
  • 環球
  • 歐洲
  • 亞太區
  • 新興市場
  • 美國

投資涉及風險。過往業績並非當前或將來的表現的可靠指標,亦不應作為選擇個別產品或策略的唯一考慮因素。

環球股票

我們擁有真正全球性的環球股票投資方案。憑藉業界覆蓋面最廣泛且經驗最豐富的買方全球研究平台之一,我們的投資團隊致力從最廣泛的潛在投資機會中尋找優質企業。

普徠仕(盧森堡)系列
環球焦點增長股票基金
集中投資環球市場中有高確信度的股票。 檢視更多...
ISIN LU0143551892
基金單張
產品資料概要
SFDR 披露
2016年12月31日 - David J. Eiswert, 基金經理,
There remain many uncertainties at the global macro level, and the first 100 days of Donald Trump’s presidency in 2017 will be watched with great intensity by markets. We believe this will result in ongoing market volatility, as well as likely stock and sector rotation. Knowing the stocks you want to buy and being confident enough to buy them during periods of weakness is going to be an ongoing necessity.
普徠仕(盧森堡)系列
環球增長股票基金
於廣闊的股票投資領域中,發掘具優越質素且機遇無限的環球股票。 檢視更多...
ISIN LU0382933116
基金單張
SFDR 披露
2016年12月31日 - Scott Berg, 首席基金經理,
The surprise victory of Donald Trump and the potential policy implications of a Republican-controlled legislature with tax cuts, deregulation, and possible U.S. fiscal stimulus, led to a rally in some cyclical segments of the market. However, with uncertainty on specifics at this point, we are retaining some caution against a broad-based cyclical bounce.
普徠仕(盧森堡)系列
環球天然資源股票基金
致力於天然資源開採及生產領域物色管理完善,且具備良好長期供需基本因素的公司。 檢視更多...
ISIN LU0272423673
基金單張
產品資料概要
2017年01月01日 - Shawn T. Driscoll, 基金經理,
Market expectations that the recent OPEC agreement to cut output will help balance out the supply/demand fundamentals have helped push up crude oil prices. Still, we maintain that this recovery in the commodity will be brief, and that oil prices will settle into a long-term average of USD $40 to $50 per barrel.
普徠仕(盧森堡)系列
環球精選股票基金
本附屬基金的目標是透過產生收入及資本增值盡量提高總回報,與審慎的投資管理一致(即不僅考 慮一項投資的盈利能力,亦考慮其對附屬基金整體風險狀況的貢獻)。 檢視更多...
ISIN LU2243340283
基金單張
SFDR 披露
2020年11月30日 - Scott Berg, 首席基金經理,
Given increasing market volatility, we are maintaining a broadly balanced portfolio with sector exposures relatively neutral to our core benchmark. We still own a mix of businesses that we believe are structural winners, durable growers, and higher yielding companies that held up well during the March sell-off but have levelled off since. While we are more cautious in the near-term, we like what we own and remain more constructive over the medium term.
普徠仕(盧森堡)系列
環球科技股票基金
主力投資於科技公司及受惠於科技行業的公司,實現長線資本增長。 檢視更多...
ISIN LU1244139660
基金單張
產品資料概要
SFDR 披露
2017年01月01日 - Joshua Spencer, 基金經理,
The incoming Trump administration’s immigration and trade policies could hurt the U.S. technology sector, though its position on lower taxes and repatriation of overseas profits could counterbalance this. We continue to closely monitor this evolving space.
普徠仕(盧森堡)系列
環球價值股票基金
專注投資於盈利增長改善前景且估值吸引的環球公司。 檢視更多...
ISIN LU0859255472
基金單張
SFDR 披露
2016年12月31日 - Sebastien Mallet, 基金經理,
We are cautiously optimistic about global equity markets and continue to concentrate on selecting companies with strong free cash flow generation, not yet fully appreciated by the market, and with the scope to increase shareholder returns. We are still finding areas of the global economy where fundamentally sound, well-run businesses face unwarranted investor scepticism.

歐洲股票

單一市場並不存在。歐洲投資環境呈多樣性,因此需要深入的本土知識及極為豐富的經驗—逾30年的歐洲投資經驗已令我們具備相關實力。

普徠仕(盧森堡)系列
歐洲股票基金
投資採取類型中立的選股方針,注重持倉質素,以維持均衡的投資組合。 檢視更多...
ISIN LU0285830955
基金單張
產品資料概要
SFDR 披露
2016年12月31日 - Dean Tenerelli, 基金經理,
We believe there will be more uncertainty in the year ahead, with the prospect of further potentially sizable shifts in the European political landscape. However, in our view, the foundations for investing in Europe are more solid than investors may appreciate, once one looks below the surface.

亞太區股票

普徠仕堅守長期投資策略。我們的投資風格從不盲目追隨短期市場趨勢。始終如一的投資方式及長期投資理念令我們洞悉短期波動,積極捕捉最具吸引力的機會。

普徠仕(盧森堡)系列
亞洲(日本除外)股票基金
專注尋求締造可持續增長的多元化基金。 檢視更多...
ISIN LU0266341725
基金單張
SFDR 披露
2017年01月31日 - Anh Lu, 基金經理,
The earnings cycle in Asia ex-Japan appears to be turning. Company management teams are working hard to expand revenues and margins, exhibiting greater discipline than in previous years, and we are incrementally optimistic about the outlook for the region, especially as valuations are still attractive relative to many global peers.
普徠仕(盧森堡)系列
亞洲機遇股票基金
集中的投資組合投資於多家優質亞洲公司。 檢視更多...
ISIN LU1044871900
基金單張
SFDR 披露
2016年12月31日 - Eric C. Moffett, 基金經理,
Corporate earnings are recovering from years of stagnation and the secular trends that have fuelled the region’s rapid growth in the past such as accelerated urbanisation, rising wealth and improving living standards remain intact. Valuations are also attractive relative to the broader global equity market.
普徠仕(盧森堡)系列
日本股票基金
致力於日本股票領域發掘最佳投資機遇。 檢視更多...
ISIN LU0230817925
基金單張
SFDR 披露
2016年12月31日 - Archibald Ciganer, 基金經理,
Over the medium term, we remain upbeat about Japanese equities, especially those stocks central to the country's evolution. We believe that investing in durable and improving businesses capable of weathering economic turbulence remains an advantageous approach to Japanese equity investing.

新興市場股票

在新興市場,識別成功的企業意味著有利可圖,但避免投資虧損企業同樣關鍵。我們對該地區的投資始於1985年,我們堅信,普徠仕專屬的基本面驅動研究是不可取代。因此,我們成為業界最深入的新興市場及前沿市場股票研究平台之一。

普徠仕(盧森堡)系列
新興市場探索股票基金
運用逆向投資法,尋求投資於新興市場中價值被低估,且我們認為能從變動催化因素中受惠的公司。 檢視更多...
ISIN LU1244138183
基金單張
產品資料概要
SFDR 披露
2016年12月31日 - Ernest Yeung, 基金經理,
Emerging markets performed well in 2016, following the weakness of previous years, but valuations remain attractive relative to history and to developed markets. While there are ample opportunities, we are mindful that value alone is not sufficient and our detailed research helps us identify catalysts for this to be unlocked.
普徠仕(盧森堡)系列
新興市場股票基金
順應新興市場的不斷轉變,務求獲取具吸引力的增長機遇。 檢視更多...
ISIN LU0133084623
基金單張
產品資料概要
SFDR 披露
2016年12月31日 - Gonzalo Pángaro, 基金經理,
We used the recent weakness in emerging markets as an opportunity to add to our preferred names at attractive valuations. Other opportunities have also arisen following the recent market "shake up", and we have investment trips to Mexico, Taiwan, and Hong Kong planned in the first quarter of 2017.
普徠仕(盧森堡)系列
前沿市場股票基金
致力於正經歷急速發展的國家投資,物色估值吸引的優質增長企業。 檢視更多...
ISIN LU1079765662
基金單張
產品資料概要
2016年12月31日 - Oliver Bell, 基金經理,
While growth in frontier markets was relatively sluggish for much of 2016, indicators for future performance have improved significantly in recent months, renewing our positive outlook on these economies in both the near and longer term.

美國股票

自1937年創立以來,我們一直為美國股票投資的翹楚。在此期間,儘管市況不斷變化,但我們的投資方法始終一致,堅定專注於為客戶帶來長期回報,貫徹始終。

普徠仕(盧森堡)系列
美國藍籌股票基金
透過投資於優質的美國公司,務求獲取增長機遇。 檢視更多...
ISIN LU0133088293
基金單張
SFDR 披露
2016年12月31日 - Larry J. Puglia, 基金經理,
We retain our focus on investing in growth companies with leading market positions whose growth is not heavily reliant on the overall direction of the economy.
普徠仕(盧森堡)系列
美國大型增長股票基金
務求發掘具備雙位數字盈利增長潛力的投資機遇。 檢視更多...
ISIN LU0174119429
基金單張
產品資料概要
SFDR 披露
2016年12月31日 - Taymour Tamaddon, 基金經理,
Fundamental research and bottom-up stock selection remain key to our navigation of current market conditions as we seek to identify companies that can deliver durable earnings growth over time.
普徠仕(盧森堡)系列
美國小型公司股票基金
採用價值投資方法及選擇增長型股票,從而尋求資本增值。 檢視更多...
ISIN LU0133096635
基金單張
產品資料概要
SFDR 披露
2016年12月31日 - Ryan Burgess, 基金經理,
As evidenced by the strong performance of equity markets, investors have factored in a significant improvement for the prospects for corporate earnings in light of the U.S. election outcome. While we are sanguine about the opportunities that the implementation of a pro-growth agenda could have, we are also being measured and mindful of the implications for our portfolio.

環球固定收益

環球固定收益近年迅速擴張。普徠仕的全球研究平台以及駐於美國、歐洲及亞洲各地的專職主權債券、信貸及貨幣投資專家團隊具備理想優勢,捕足市場帶來的投資機會。

普徠仕(盧森堡)系列
多元收益債券基金
尋求透過投資於廣泛類型發行人的多元化全球債券投資組合,實現創造收益、資本增值的目標。 檢視更多...
ISIN LU1244139074
基金單張
SFDR 披露
普徠仕(盧森堡)系列
環球綜合債券基金
投資於注重下行風險及股票市場多元化的環球固定收益債券,務求賺取正面回報。 檢視更多...
ISIN LU0133095660
基金單張
產品資料概要
SFDR 披露
2016年12月31日 - Arif Husain, 固定收益主管兼首席投資總監,
We expect periods of volatility over the coming months on uncertainty around the policy direction of the incoming U.S. administration and heightened political risk in Europe. On top of that, the U.S. Federal Reserve (Fed) is expected to make further interest rate rises in 2017, and other major central banks are showing signs of stepping back slightly from their accommodative monetary policy stances. We maintain a cautious approach but look for opportunities identified by our fundamental research approach to take advantage of any pricing anomalies and dislocations that might occur.
普徠仕(盧森堡)系列
環球高息債券基金
基金運用嚴謹的風險管理方法,高收入的投資組合,主要投資於環球高收益公司債券。 檢視更多...
ISIN LU1216622644
基金單張
產品資料概要
SFDR 披露
2016年12月31日 - Mark Vaselkiv, 固定收益首席投資官,
High yield bonds appear well positioned given the improving economic environment, the relatively short duration of the asset class and the likelihood of gradually rising rates. The technical factors behind income demand are considerable, in our view, and have the potential to drive future gains. Upcoming global political developments bring a level of uncertainty, but for now, confidence in corporates appears strong.

環球固定收益

普徠仕(盧森堡)系列
亞洲債券基金
尋求透過篩選證券及相對價值交易提高總回報。 檢視更多...
ISIN LU1697875810
基金單張
產品資料概要
SFDR 披露

歐洲固定收益

對投資者而言,歐洲投資環境日趨多元化及複雜。風險與機遇並存且千變萬化。我們經驗豐富的投資團隊採用基本面及團隊合作方法脫穎而出,為客戶提供長期一致的回報。

普徠仕(盧森堡)系列
歐元企業債券基金
多元化的公司債券基金,專注挑選合適的證券進行投資。 檢視更多...
ISIN LU0133091248
基金單張
產品資料概要
SFDR 披露
2016年12月31日 - David Stanley, 基金經理,
We believe new bond issuance and broader risk sentiment will dominate moves in European investment-grade corporate bond markets in the near term. Fundamentals underpinning the asset class remain robust, while technical factors continue to be positive with the European Central Bank (ECB) providing support through its corporate purchase programme. However, there is a risk that tapering concerns will resurface later this year and volatility picks up given the packed election calendar in Europe this year.
普徠仕(盧森堡)系列
歐洲高收益債券基金
投資以研究為主導,務求實現高收入的回報。 檢視更多...
ISIN LU0596125814
基金單張
產品資料概要
SFDR 披露
2016年12月31日 - Michael Della Vedova, 基金經理,
We believe that the fundamentals and technical factors underpinning European high yield are robust. However, volatility is likely to persist given Brexit negotiations and elections in France, Germany and the Netherlands. For us, the most important thing is to be credit selective. This will be the biggest determinant of absolute and relative returns, in our view

新興市場固定收益

普徠仕自新興市場債券形成伊始便開始對其投資,如今新興市場債券已逐漸成為成熟的資產類別。我們的投資團隊具備豐富經驗,在覆蓋面廣泛的全球研究平台的支持下,對全面的投資機會作出知情投資決策。

普徠仕(盧森堡)系列
新興市場債券基金
積極投資於大部分新興市場主權債券。 檢視更多...
ISIN LU0207127753
基金單張
產品資料概要
SFDR 披露
2016年12月31日 - Michael Conelius, 基金經理,
With the move higher in U.S. Treasury yields and associated asset class volatility, valuations in emerging markets sovereign debt have become more attractive. In our view, countries with encouraging reform agendas continue to offer the most compelling opportunities.

美國固定收益

在全球最大的債券市場投資,需要一個強大而覆蓋面廣泛的全球研究平台。對國庫債券、投資級別債券、高收益債券以及證券化債券的透徹基本面研究,為我們固定收益產品取得成功的關鍵所在。

普徠仕(盧森堡)系列
美國高收益債券基金
ISIN LU1697876628
基金單張
產品資料概要
SFDR 披露

美國固定收益

Our approach to global multi-asset investing applies more than 25 years' experience in strategic and tactical asset allocation and leverages the research and active management resources of the T. Rowe Price equity and fixed income groups.

普徠仕(盧森堡)系列
旨在透過投資於可產生收益的全球證券投資組合,以提供收入及長遠資本增值。
ISIN LU2047632679
基金單張
產品資料概要
SFDR 披露
沒有符合以上篩選條件的產品

成立時間不足一年的股票類別(及相關基準)的績效報酬是累積的,而不是年化的。

業績來源:T. Rowe Price。基金績效是使用以股份類別貨幣計算的官方資產淨值以及再投資分配(如有)計算的。銷售費用、稅金和其他當地適用的成本尚未扣除,如果適用,它們將減少績效數據。

除另有說明外,上述任何股票基準,顯示的回報包括再投資的股息(扣除預扣稅後)總額。