The fund's investment strategy is to select companies with innovative ability and growth potential to invest through in-depth study of macro-economy, industry and company fundamentals, and at the same time pay attention to risk control and portfolio optimization.
What is the benchmark of the fund's performance? 80%+ China Bond Composite Index Yield? 20%。
It should be noted that investment is risky. Investors need to read the fund prospectus and fund contract carefully, understand the risk-return characteristics and investment strategy of the fund, and make investment decisions according to their own risk tolerance and investment objectives.