Fund is a hybrid fund launched by Guangfa Fund Company, aiming at creating long-term excellent returns for investors through active investment strategy and risk control. The Fund takes long-term stability as its core concept, flexible allocation as its main investment strategy, and adopts a multi-level, multi-variety and multi-style investment portfolio to pursue long-term asset appreciation and effective risk control.
The investment strategy of the fund mainly includes three aspects. Focus on diversification of investment and reduce risks. Follow long-term investment and pay attention to stability. Pay attention to risk control and take risk avoidance as the main goal. In the investment portfolio, funds are mainly divided into fixed income, stocks, alternative investments and money markets, and diversified investment strategies are adopted to achieve the purpose of reducing risks and obtaining better returns.
The success of the fund is reflected in its good allocation of various industries and accurate selection of stocks. At the same time, the Fund also pays attention to alternative investment fields, including domestic and foreign commodity futures, equity investment funds, debt investment and real estate investment. In terms of risk control, the fund has taken strict risk control measures, including comprehensive risk assessment and monitoring mechanism, to ensure the security and robustness of the fund.
With flexible allocation, diversified investment, long-term and risk control as the core concepts, the Fund is committed to creating long-term excellent returns for investors. The success of this investment strategy and concept is reflected in the investment portfolio and operation of the fund. Fund managers are very cautious in investment decisions, pay attention to risk control, and create excellent returns for investors through diversified portfolios.