11/15/2024, 02:35 PM UTC
富达OTC投资组合基金2024年第二季度回顾Fidelity OTC Portfolio Fund Q2 2024 Review
1. 富达OTC投资组合基金零售类股份回报率为-0.33%,低于纳斯达克综合指数的2.76%涨幅。2. 消费品和信息技术领域的股票选择不佳,导致表现不佳。3. 尽管具有潜力,该基金对AI股票保持谨慎态度,重点投资于通信服务和半导体领域的可持续增长机会。1. The Fidelity OTC Portfolio Fund's Retail Class shares returned -0.33%, underperforming the NASDAQ Composite Index's 2.76% gain. 2. Poor stock selection in consumer discretionary and information technology sectors contributed to the underperformance. 3. The fund remains cautious on AI stocks, with key overweights in communication services and semiconductor sectors.
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