I. Types of funds managed by Gulen Fund
1, equity fund
Stock fund is a kind of fund managed by the manager of Gulen Fund, which mainly invests in the stock market, mainly focusing on stock investment, and its main purpose is to obtain the income of the stock market. The stock funds of Gulen Fund mainly invest in the stocks of large and medium-sized enterprises at home and abroad, and the investment portfolio is mainly long-term investment with high investment risk.
2. Bond funds
Bond fund is a kind of fund managed by Gulen fund manager, which mainly invests in the bond market, focusing on bond investment, and its main purpose is to obtain the income from the bond market. The bond fund of Gulen Fund mainly invests in long-term bonds issued by international and domestic governments and enterprises, and the investment portfolio is mainly long-term investment with low investment risk.
3. Hybrid funds
Hybrid fund is a fund type managed by Gulen fund manager, which mainly invests in the stock market and bond market, mainly investing in financial instruments such as stocks and bonds, and its main purpose is to obtain the income from the stock market and bond market. The hybrid fund of Gulen Fund mainly invests in stocks of large and medium-sized enterprises at home and abroad and long-term bonds issued by the government and enterprises. The portfolio is mainly long-term investment and has high investment risks.
4. Money market funds
Money market fund is a fund type managed by Gulen fund manager, which mainly invests in money market, mainly short-term bond investment in money market, and its main purpose is to obtain money market income. The money market fund of Gulen Fund mainly invests in short-term bonds issued by international and domestic governments and enterprises, and the investment portfolio is mainly short-term investment with low investment risk.
Second, the investment strategy of Gulen Fund
The investment strategy of Gulen Fund is to focus on long-term investment, adopt a positive investment strategy and attach importance to the safety and profitability of investment in order to obtain a higher return on investment. According to the changes of the market, the manager of Gulen Fund will choose the appropriate investment target and combine a reasonable investment portfolio to ensure the security and profitability of the investment portfolio.
Third, the investment risk of Gulen Fund
The investment risk of Gulen Fund is relatively high, including market risk, credit risk and liquidity risk. Glen fund managers will take various measures to strengthen risk management, ensure investment safety and reduce investment risks.
Four. Investment income of Gulen Fund
The return on investment of Gulen Fund is considerable. The return on investment of funds managed by Gulen Fund Manager is generally high, with a return on investment of more than 20%. The return on investment of Gulen Fund is also around 20%, and the return on investment is also considerable.
This paper introduces the funds managed by the manager of Gulen Fund, mainly introduces the types, investment strategies and investment risks of the funds managed by Gulen Fund, and analyzes the investment income of Gulen Fund. To sum up, the funds managed by Gulen Fund Manager include stock funds, bond funds, hybrid funds and money market funds. The investment strategy is mainly long-term investment, with high investment risk and considerable investment income.