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Janshen Emerging Markets Ex-China A2 USD (HZ5D)

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Summary

HZ5D is not paying dividends to its shareholders.
The stock of the company had never split.
The company's stock is traded on one exchange.

HZ5D Chart

Janshen Emerging Markets Ex-China A2 USD (HZ5D) FAQ

What is the stock price today?

The current price is €0.00.

On which exchange is it traded?

Janshen Emerging Markets Ex-China A2 USD is listed on XSTU.

What is its stock symbol?

The ticker symbol is HZ5D.

Does it pay dividends? What is the current yield?

It does not pay dividends to its shareholders.

What is its market cap?

As of today, no market cap data is available.

Has Janshen Emerging Markets Ex-China A2 USD ever had a stock split?

No, there has never been a stock split.

Janshen Emerging Markets Ex-China A2 USD Profile

XSTU Exchange
Germany Country

Overview

The "Janshen Emerging Markets Ex-China A2 USD" is a mutual fund designed with a strategic focus on investing across a diversified portfolio that targets emerging markets, excluding China from its investment considerations. This fund is crafted to take advantage of the dynamic economies within emerging markets, which are often characterized by higher growth rates in comparison to their developed counterparts. It offers an attractive investment opportunity for those looking to diversify their portfolio with exposure to regions like Latin America, Eastern Europe, Africa, and Asia—minus China. By steering clear of the Chinese market, the fund aims to mitigate the associated risks of the economic fluctuations that are common in China, zeroing in instead on other markets that promise robust growth. The fund holds a significant place in the financial market by opening doors to a plethora of high growth investment opportunities, enabling investors to achieve geographical diversification and to tap into economic growth trends outside of the conventional and often saturated markets that include China.

Products and Services

The "Janshen Emerging Markets Ex-China A2 USD" mutual fund offers its investors a variety of products and services, focusing on geographic diversification and high-growth opportunities:

  • Diversified Portfolio in Emerging Markets:
  • This product provides investors with the opportunity to invest in a selectively curated portfolio that spans across dynamic economies within the emerging markets sector. By targeting countries in regions such as Latin America, Eastern Europe, Africa, and Asia (excluding China), investors can benefit from the higher growth rates these markets typically offer compared to more developed economies.

  • Exclusion of China for Risk Mitigation:
  • Understanding the volatility and economic fluctuations of the Chinese market, this distinctive feature aims to mitigate risks for investors. By actively choosing to exclude China from its investment universe, the fund concentrates on other emerging markets that offer promising growth potential, enabling investors to pursue opportunities without the associated risks of the Chinese economic environment.

  • Access to High-Growth Investment Opportunities:
  • The fund serves as a gateway for investors to explore high-growth investment opportunities across a wide array of sectors and countries within the parameters of emerging markets. This service is particularly valuable for those looking to diversify their investment portfolio away from traditional investments, including those that involve China, and towards markets experiencing rapid economic development and growth.

  • Geographic Diversification:
  • This service offers an effective solution for investors aiming to broaden their investment horizon by incorporating exposure to a mix of regions that have yet to reach their saturation point in terms of economic development. Geographic diversification is a strategic tool within this fund’s offerings, designed to potentially enhance returns while mitigating risk by spreading investments across various emerging markets, thereby avoiding overconcentration in any single region or market.

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