It is a fund product with fixed income as the main investment target. The fund, managed by Xinhua Fund Management Co., Ltd., aims to provide investors with stable and long-term investment returns. The investment portfolio of the Fund is mainly bonds, including government bonds, local government bonds, corporate bonds and a certain proportion of money market instruments. The main investment strategy of the Fund is to optimize the investment portfolio, control risks and obtain stable income.
Our investment goal is to obtain long-term stable income by investing in fixed-income securities. The Fund mainly invests in convertible bonds, exchangeable bonds, ordinary bonds and a certain proportion of money market instruments. Through strict risk control and portfolio optimization, the Fund aims to achieve long-term stable returns for investors.
Fund managers choose high-quality bond investment varieties through strict bond rating, credit risk assessment and industry analysis to reduce risks. At the same time, the fund manager will flexibly adjust the investment portfolio according to the changes in the market environment in order to obtain as much income as possible. The fund also provides regular dividend service to provide investors with stable cash flow returns.
It is a stable long-term investment product, suitable for investors who pursue fixed income and maintain and increase value. By optimizing the investment portfolio, the fund controls risks and provides investors with long-term stable returns. Investors can choose their own investment scheme according to their own needs and risk preferences in order to obtain the best return on investment.