How about Guangfa Ruifu Select Mixed Fund?
At present, Guangfa Ruifu Select Hybrid Fund is still in the subscription period. As a new fund, there is no historical income data, but combined with its investment strategy, fund manager's past performance and risk-return characteristics, we can understand this fund.
1 Risk-return characteristics: The Fund is a hybrid fund, and its expected return and risk level are higher than those of money market funds and bond funds, but lower than those of equity funds. The foundation's investment in Hong Kong stocks will face the unique risks under the Hong Kong stock system.
2 Investment strategy: In terms of domestic stocks and Hong Kong stocks, the Fund will comprehensively consider the following factors in the allocation of stocks in the two places: 1, macroeconomic factors (such as GDP growth rate, CPI trend, M2 absolute level and growth rate, interest rate level and trend, etc.); 2. Valuation factors (such as the overall market valuation level and the profit growth of listed companies). ); 3, policy factors (such as fiscal policy, monetary policy, tax policy, etc.). ); 4. Liquidity factor. The Fund will mainly follow the "bottom-up" analysis framework and adopt the method of combining qualitative analysis and quantitative analysis to select stocks.
③ Fund Manager: Mr. Li Yaozhu: Master of Science, holding the certificate of China Securities Investment Fund Industry. With rich experience in fund management, the funds still managed at present include: Guangfa Ruifu Select Mix, Guangfa Hong Kong Stock Connect Growth Select Stock, Guangfa Small and Medium-sized Select Mix, and Guangfa High Dividend Premium Mix.