How about E Fonda and E Branch mixing?
The new fund has no historical data, but the experience of the fund is open. You can know the past performance of the fund manager, and at the same time, you can understand the fund by combining the risk-return characteristics, investment strategy and investment subject of the fund.
Risk characteristics: The Fund is a hybrid fund. Theoretically, its expected risk and expected return are lower than those of stock funds, but higher than those of bond funds and money market funds.
Investment strategy: the stock selection factors of individual stock investment strategy include qualitative analysis and quantitative analysis: qualitative analysis includes company operation, corporate governance, management team and core competitive advantage; Quantitative analysis includes return on net assets, gross profit margin, growth rate of operating income, growth rate of operating profit, etc. , operating efficiency, total assets turnover, inventory turnover, accounts receivable turnover, etc. And through the price-earnings ratio method (P/E), price-to-book ratio method (P/B), price-earnings ratio-long-term growth method (PEG), free discounted cash flow method model (FCFF, FCFE) or dividend discount model (DDM).
Fund Manager: Mr. Yang Jiawen, Master of Management. He is currently the fund manager of E Fund Management Co., Ltd. E Fund Ke Rui Flexible Allocation Hybrid Securities Investment Fund. 2019165438+1October 28th, he was appointed as the fund manager of E Fund's flexible allocation hybrid securities investment fund.