2. In-depth fundamental research selects value stock investment. At present, the distribution of industries in Tian Rui is relatively balanced, and the selected companies are relatively stable. From the current point of view, we are relatively optimistic about investment opportunities in industries such as 5G, photovoltaic, environmental protection and new energy vehicles.
3. The report of Zhonglu Fund Research Center shows that Guo Futian Rui's outstanding performance mainly comes from three aspects: first, forward-looking judgment on the general trend; Second, flexibly adjust positions according to market conditions; The third is to accurately grasp the market hotspots.
1, 100022 The fund mainly invests in the stocks of listed companies with strong competitiveness, stable management, integrity and excellent performance in strong areas (rapid regional economic development, certain production groups and strong purchasing power of residents). The Fund follows the principle of "maximizing the return after risk adjustment", adopts a "top-down" active investment strategy, dynamically adjusts the proportion of investment portfolio on the basis of rational use of financial engineering technology, pays attention to the safety of fund assets, and seeks long-term stable appreciation of fund assets.
2. Fund history: The Fund was raised by the fund manager in accordance with the Fund Law, Operation Measures, Sales Measures, Fund Contract and other relevant regulations, and was initiated and established with the approval of China Securities Regulatory Commission. Fund manager Orient Fund Management Co., Ltd. and fund custodian China Agricultural Bank. The face value of this fund share is RMB 65,438+0.00, which was publicly offered to individual investors and institutional investors from February 265,438+0, 2005 to March 23, 2005. The minimum amount of initial subscription and subscription is 1000 yuan; Minimum redemption share: 1000 fund units.
3. Risk-return characteristics: The Fund is an active investment hybrid fund, which mainly invests in high-quality stocks with reasonable pricing and growth potential in strong areas, and belongs to a medium-risk securities investment fund. The Fund strives to achieve long-term stable growth of fund assets and high excess returns under the premise of strictly controlling risks.