How about Guangfa Balanced Growth Mixed Fund?
For a new fund, we can get a preliminary understanding from three aspects: risk return, investment strategy and fund manager.
1 risk return: this fund is a hybrid fund. Generally speaking, its long-term average risk and expected return are lower than those of stock funds, but higher than those of bond funds and money market funds.
2 Stock investment strategy: Through the "bottom-up" stock selection strategy, the Fund selects stocks with relatively certain growth and reasonable valuation, builds a relatively balanced investment portfolio in style and industry allocation, and strictly controls risks in order to strive for long-term stable appreciation of fund assets. Focus on stocks that have potential for performance improvement but have not been tapped by the market, and stocks that overreact due to unexpected events.
③ Fund Manager: Mr. Wang Song, male, born in China, holds a master's degree in economics and a certificate of securities investment fund industry in China.
As a fund manager, The funds that have been managed include: the fund manager of Guangfa Jurui Hybrid Securities Investment Fund (20 14 12.24 to 20 17 16.5438+0.9), and the fund manager of Guangfa Innovative and Upgraded Hybrid Securities Investment Fund (20 16) Kloc-0/65438 2065438 to August 2020 1) and the fund manager of Guangfa Theme Leading Flexible Allocation Hybrid Securities Investment Fund (March 2065438 to August 2020 1)