The way to avoid the loss of the same fund is to reduce the systematic risk as much as possible and increase the diversity of investment portfolio. When investing, we should pay attention to the correlation between different assets and control the corresponding weight distribution in the portfolio. In addition, we should also pay attention to the choice of fund managers. Fund managers with different policies, management concepts and styles should be selected to diversify the risks of the portfolio as much as possible.
If the same fund loses money, investors can take some countermeasures. First of all, don't panic, you can't expand the loss. Secondly, we should re-evaluate the assets in the portfolio according to the actual situation and decide whether to sell some assets or make appropriate adjustments to the portfolio. Third, we should be patient and not make hasty decisions. It is necessary to carefully analyze the prospects and fundamentals of the fund to avoid missing any investment opportunities.