Everyone has his own understanding of the net value of Bosera Tertiary Fund. Xiaobian here today makes a brief summary for everyone. I hope everyone can gain something. It is Xiaobian's happiest thing to help those in need. Friends who like it can collect this site. Introduction
Bosera Tertiary Industry Fund is a stock fund with China tertiary industry as its main investment field. The fund mainly invests in Chinese mainland's service industry, manufacturing industry and agriculture, aiming at achieving long-term and stable investment income by acquiring stocks of high-quality enterprises in these fields. Investment strategy
The investment strategy of Bosera Tertiary Fund is mainly divided into two aspects: first, through in-depth study of industries and companies, accurate stock selection; The second is to control risks by regularly adjusting the investment portfolio. The fund manager of Bosera Tertiary Fund will conduct in-depth research in the fields of service industry, manufacturing industry and agriculture, and select enterprises with investment value according to the fundamentals, financial data and market prospects of industries and companies. The fund manager will adjust the investment portfolio regularly according to the market changes and the fund portfolio to control the risks, so as to ensure the long-term stable income of the fund. Recent performance
By the end of July, 221, the net value of Bosera Tertiary Fund was 1.4277 yuan, an increase of 2.69% over the same period of last year. At the same time, the performance of the fund in the same period also exceeded the average level of similar funds. This performance is mainly due to the fund's investment strategy and professional management of fund managers, as well as the overall growth in service industry, manufacturing industry and agriculture. Risk warning
As a stock fund, the investment of Bosera Tertiary Fund has certain risks. Investors should pay attention to the fact that the fluctuation of the stock market and industry risks may have an important impact on the performance of the fund. At the same time, investors also need to pay attention to market liquidity risk, policy change risk and other factors. When choosing this fund, investors should fully understand their risk tolerance and invest cautiously.