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How to evaluate fund performance from investors' net worth?
The investment scope of the Fund is financial instruments with good liquidity, including domestic stocks (including Growth Enterprise Market, Small and Medium-sized Board and other stocks approved by China Securities Regulatory Commission), bonds, warrants and other financial instruments allowed by laws and regulations or China Securities Regulatory Commission to invest in the Fund (subject to the relevant provisions of China Securities Regulatory Commission). The stock assets of the Fund account for 60%-95% of the fund assets, and the bond assets account for 0%-35% of the fund assets. In the long run, the average allocation ratio of the fund's stock assets is 80%, and the average allocation ratio of bond assets is 20%. Therefore, the asset allocation ratio in the performance benchmark can basically reflect the risk-return characteristics of the fund.