It is a new fund product launched by Jianxin Fund Management Co., Ltd. Driven by quantitative model, the fund predicts future events and trends by analyzing market and company data, so as to realize investment in stocks, bonds and other assets. The fund is characterized by flexible operation, strong risk control ability and high profitability.
Our investment strategy is mainly based on quantitative analysis. Through big data analysis, machine learning and other technologies, the fund conducts in-depth mining and analysis of market and company data, predicts future events and trends, and thus realizes investment in assets. At the same time, the Fund also adopts a strict risk control system to dynamically manage the portfolio to ensure the security and stability of the portfolio.
Our investment scope is wide, covering stocks, bonds, money market instruments and other assets. When investing in stocks, the Fund mainly pays attention to the company's fundamentals and financial situation, as well as changes in macroeconomic conditions. When investing in bonds, the Fund mainly considers the credit risk and interest rate risk of bonds and the impact of macroeconomic conditions on the bond market.
It is a new fund product driven by quantitative model. The Fund adopts advanced technology and strict risk control system, which can provide investors with efficient, safe and stable investment schemes. For investors, it is undoubtedly a quality product worth investing in.