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How does CCB cash Tian Li 000693 operate?
Trade according to the right market. CCB Cash and Monetary Fund (fund code 000693) has low risk, slightly higher income than fixed deposit, high security (generally no loss, but CCB Fund Company will not promise to protect capital) and good liquidity.

T+ 1 working day will be redeemed normally, and 1 10,000 income and 7-day annualized rate of return will be announced every day, and 1 10,000 income is 1 10,000 yuan (because the net value of the money fund will always be 1 yuan, and will not change). If you hold 10000 yuan of CCB cash Tian Li Monetary Fund, the income on March 3rd of 20 15 will be 1.2050 yuan.

Extended data

The Fund will adopt active investment strategies such as individual coupon selection strategy and interest rate strategy, and explore and make use of investment opportunities provided by market imbalance to realize portfolio appreciation under the premise of strictly controlling risks.

1, asset allocation strategy

Based on the comprehensive judgment of macroeconomic operation, policy situation, credit status, interest rate trend and changes in capital supply and demand, and combined with the characteristics of liquidity, risk return and valuation level of various assets, the Fund determines the allocation ratio of fund assets in bonds, bank deposits and other assets, and makes dynamic adjustments in a timely manner.

2. Personal coupon selection strategy

In the selection of individual bonds, the Fund will comprehensively use yield curve analysis, liquidity analysis, credit risk analysis and other methods to evaluate the investment value of individual bonds and explore individual bonds with relative value.

3. Interest rate strategy

Through the comprehensive study of major economic variables such as GDP, prices, employment and international payments, this paper analyzes the possible scenarios of macroeconomic operation, predicts the macroeconomic policy orientations such as fiscal policy and monetary policy, and analyzes the changing trend and structure of capital supply and demand in financial markets. On this basis, the changing trend of interest rate level and the slope of financial market yield curve are predicted.

4. Flexible strategies to take advantage of short-term market opportunities.

Due to market segmentation, information asymmetry and unexpected changes in the issuer's credit rating, the market will be unbalanced in the short term; The issuance of new shares and bonds and the year-end effect will cause the short-term imbalance between supply and demand of market funds. This imbalance will bring certain market opportunities. By analyzing the causes of short-term market opportunities, studying the law, adjusting the combination allocation, improving the operation method, and actively using market opportunities to obtain excess returns.

In the future, with the development and enrichment of investment tools in the securities market, the Fund can adjust and update relevant investment strategies accordingly and make an announcement in the updated prospectus.

References:

Baidu Encyclopedia/Jianxin's Cash Profit-increasing Investment Strategy