How about Guangfa Xingcheng Hybrid Fund?
To understand a new fund, we can start with the risk-return characteristics, investment strategy and past performance of the fund manager.
Risk-return characteristics of 1: As a hybrid fund, its expected return and risk level are higher than those of money market funds and bond funds, but lower than those of equity funds.
2 Investment strategy: In terms of stock investment strategy, the Fund will mainly follow the "bottom-up" analysis framework, and adopt a combination of qualitative analysis and quantitative analysis to select listed companies with price advantage, sustainable competitive advantage and growth potential to build a stock portfolio. First, evaluate the intrinsic value of the enterprise through quantitative and qualitative analysis. Quantitative analysis is mainly aimed at the valuation of listed companies.
3 Fund Manager: Mr. Sun Di: Master of Finance and Engineering, with the qualification certificate of China Securities Investment Fund. As a fund manager, the funds managed are:
2017-12-14 has been the fund manager of guangfa resources preferred stock fund;
2017-12-14 has been the fund manager of Guangfa brand consumer stock initiative fund;
2019-04-11served as the fund manager of high-end manufacturing stock fund of guangfa;
Since September 24, 2020, he has served as the fund manager of Guangfa brand consumer stock initiative fund;
Since September 24, 2020, he has served as the preferred stock fund manager of Guangfa Resources.