The Fund mainly adopts the "bottom-up" stock selection strategy. According to detailed financial analysis and in-depth study of listed companies, we choose stocks with good performance growth prospects and relatively undervalued by the market for centralized investment. Considering the volatility of the China stock market, the Fund will also supplement the risk management strategy at the asset allocation level, that is, according to the comprehensive analysis of the macro-economy, policy situation and the trend of the securities market, monitor the allocation ratio of the fund's assets in stocks, bonds and cash, so as to avoid market systemic risks and ensure that the risks undertaken by the Fund are at a reasonable level.