How about Wanjia Strategic Development Industry Hybrid Fund?
For a new fund, we can make a preliminary judgment from the aspects of risk, investment strategy and fund manager:
Risk-return characteristics of 1: As a hybrid fund, its long-term average risk and expected return are theoretically lower than those of stock funds and higher than those of bond funds and money market funds.
2 Investment strategy: The strategic development industry defined by the Fund refers to related industries that conform to or benefit from the national economic development strategy. On the strategy of individual stock selection, the Fund adopts a bottom-up approach to select individual stocks on the basis of industry analysis. Through in-depth research on the fundamentals of listed companies, on the basis of paying attention to the margin of safety, we choose high-quality companies with good long-term competitiveness. Specifically, the fund will focus on several aspects of individual stocks: the quality, valuation level and expected differences of listed companies.
Fund Manager: Mr. Li Wenbin, Master. The performance of funds managed in recent years is as follows: