What is the asset allocation idea of Guotai Tongli? Guotai Tongli adopts the strategy of "fixed income+"to allocate assets, based on large-scale asset allocation, constructs "safe cushion" bottom warehouse income with liquidity management and bond investment, pursues excess income with stock investment, and strives to increase income with stable investment varieties such as new share subscription and fixed increase.
Who is the proposed fund manager of Guotai Tongli?
Cheng Zhou, the proposed fund manager of Guotai Tongli, is the head of the third department of active stock investment in cathay pacific fund. He has 265,438+0 years experience in securities industry and 65,438+03 years experience in fund management, and is now the fund manager of Guotai Juxin, Guotai Xinrui, Guotai Juli and Guotai Xinli. By the end of the third quarter of 2020, the total scale of Chengzhou Management Fund will be 20 billion yuan.
What are the advantages of fund managers doing "fixed income+"
Mr. Cheng Zhou, the proposed fund manager of Guotai Tongli, worked as a senior strategist before becoming a fund manager. The accumulation of macro-strategy research enables him to sensitively perceive market trends and flexibly adjust positions according to changes in the market environment, and he is quite experienced in the allocation of large-scale assets. In addition, Mr. Cheng Zhou pays attention to value investment, is good at grasping market opportunities, prefers leading companies in the industry in stock selection, and values the quality of the company's operation and the rationality of valuation. Teacher Cheng Zhou won numerous awards for crossing bulls and bears. He is a recognized Taurus fund manager in the industry and a trusted senior helmsman in your investment voyage.
What are the risk-return characteristics of Guotai Tongli?
The Fund is a hybrid fund. Theoretically, its expected risk and expected return are higher than those of money market funds and bond funds, but lower than those of equity funds. When the Fund invests in Hong Kong listed stocks, it will face unique risks caused by differences in investment environment, investment targets, market system and trading rules under the mechanism of Hong Kong listed stocks.
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