With what?
Hongde Zhuo Yuan Mixed C is a kind of fund, and its investment strategy is to obtain income through mixed investment. Such funds usually invest in assets such as stocks, bonds and money market instruments to achieve the purpose of diversifying risks and stabilizing returns.
Recently, the performance of Hongde Zhuo Yuan Mixed C is not very satisfactory, and the price has been falling. ? The following will be analyzed from four aspects.
1. Performance of fund managers
The performance of Hongde Zhuo Yuan Hybrid C is closely related to the investment ability of fund managers. Since 20 19, the fund manager of the fund has changed, and the new fund manager has not performed satisfactorily in the process of managing the fund. The data shows that the performance of the fund has been in a state of decline.
2. Macroeconomic environment
The macroeconomic environment also has a great influence on the performance of the fund. In recent years, the slowdown of global economic growth and the intensification of trade friction have affected the performance of the fund. In particular, the outbreak of the COVID-19 epidemic led to drastic fluctuations in the global market, further reducing the performance of the Fund.
3. Investment objectives of the Fund
The investment goal of the fund is also an important factor affecting its performance. Hongde Zhuo Yuan Hybrid C mainly invests in various asset types such as stocks, bonds and money market instruments. There are some high-risk stocks and bonds in its investment targets, and poor performance of these targets will directly affect the performance of the fund.
4. Market sentiment and investor sentiment
Market sentiment and investor sentiment also have an impact on fund performance. When the market sentiment is depressed, investors' sentiment will also decline, which will lead investors to sell the fund, thus further depressing the price of the fund.
The falling price of Hongde Zhuo Yuan Mixed C is mainly due to the comprehensive influence of poor performance of fund managers, unfavorable macroeconomic environment, risks in fund investment targets and depressed market sentiment. Before buying a fund, investors need to know the investment strategy, the performance of the fund manager, the risk of the investment target and other information in detail, so as to make wise investment decisions.