the value added is .29%. As of October 15th, the latest unit net value, cumulative net value, and latest valuation of the third industry of Boss are 1.56, 3.562 and 1.53, respectively, and the net value growth rate has increased by .29%. Since its establishment, Bosera's mixed fund for the tertiary industry has earned 85.12%, down 6.5% this year, 7.1% in the last month, 2.4% in the last year and 71.15% in the last three years. The fund is risky and needs to be cautious in investment.
Bosera Fund Management Co., Ltd., established on July 13th, 1998, is one of the first five fund management companies in China. With a registered capital of 25 million yuan, it is headquartered in Shenzhen and has branches in Beijing and Shanghai. As of December 31, 218, the total net asset management scale of Bosera Fund exceeded 863.8 billion yuan. After excluding the money fund and short-term wealth management bond fund, the total asset management scale of public offering exceeded 243.9 billion yuan, with accumulated dividends exceeding 91.6 billion yuan. On January 4, 22, he won the evergreen award of 22 Caijing "Sustainable Development Innovation Award".
Bosera Fund Company's business scope includes fund raising, fund sales, asset management and other businesses permitted by China Securities Regulatory Commission, and it is an asset management institution that provides professional investment services for customers. "Creating wealth for the people" is Bosera's mission. Bosera Fund Company's investment philosophy is "to be the discoverer of investment value". Bosera follows the law of value of capital market, and relies on professional system to deeply study the value of investment objects. Stock investment emphasizes fundamental analysis based on internal research, and continuously excavates listed companies with stable growth performance, core competitiveness and growth potential. The secondary market price of stocks will eventually reflect the intrinsic value of enterprises, and stick to the in-depth grasp of enterprises, which is the fundamental method to obtain income and avoid risks.
all kinds of assets managed by boss have achieved good investment income growth, and the product strategy fully meets the asset allocation needs of all kinds of customers, so as to achieve the income target of long-term wealth management of all kinds of customers. Bosera is one of the fund companies that manage the largest number of public offerings at present, and has a product line layout. The product types cover stock, bond, hybrid, QDII and other fund varieties.