1. investment strategy: the fund invests in company stocks and bonds in clean energy, new energy and environmental protection industries, aiming at obtaining long-term capital appreciation income.
2. Performance: As of April, 2023 12, the annualized rate of return of the fund since its establishment was 9.97%, which was excellent among similar funds.
3. Risk level: The Fund is a hybrid fund, and there are both stocks and bonds in the portfolio, which is relatively low in risk compared with stock funds. However, fund investment in clean energy, new energy and other fields also has certain industry risks.
4. Charge standard: the management fee of the Fund is 65,438+0.50%, the custody fee is 0.65,438+00%, and the highest sales service fee is 65,438+0.50%.