Second, look at the type, whether it is index type, stock type, partial stock type, mixed type, bond type or currency type, so as to know the upper limit of fund positions.
Third, look at the fund style, whether it is large-cap stocks or small and medium-sized stocks, and now there are funds such as medical themes and bonus themes.
The fourth is technical analysis index, which is mainly used for risk analysis. Commonly used indicators are: standard deviation, downside risk, Sharp ratio, alpha coefficient (%), beta coefficient and r square. I don't know the specific calculation formula. Ask the math teacher.
Finally, we must look at the scale of assets, and 300-500 million is the best. After all, the boat is easy to turn around, and the 30 billion fund is in a bad market, so it is difficult to change positions and stocks.
Making money is the last word, just look at the technical indicators. After all, the trend of the stock market determines the trend of the fund. When others are afraid, they buy greedily, and when others are greedy, they calmly redeem.