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What funds does Hao Chen manage?
Hao Chen is the fund manager of E Fund Management Co., Ltd., and Zhang Kun, Xiao Nan and others are star fund managers. Since he is a star fund manager, the funds he manages are naturally not lacking in attention. What are the funds managed by Hao Chen?

What are the funds managed by Hao Chen?

The following is a list of previous funds in Hao Chen:

Source: Tian Tian Fund Network (202 1. 12.09).

Among them, the best performance is E Fund and Kexiang Mix, with a return of 586.50%. Yifangda Kexiang Hybrid was established in June 2008 165438+ 10/3, with the fund code of1100 13. Is a hybrid partial stock fund, the current asset size of 55.

Source: Tian Tian Fund Network (202 1. 12.09).

The following are the top ten positions of the Fund:

Source: Tian Tian Fund Network (202 1. 12.09).

The top ten stocks of the fund include liquor stocks, technology stocks and transportation stocks. Let me tell you first: fund positions are generally updated once every quarter, and the next update time is generally 65438+February 3 1. Please pay attention to the latest position.

The following are fund risk indicators:

Source: Tian Tian Fund Network (202 1. 12.09).

The data shows that the fund fluctuates greatly and the risk is relatively high.

The following is the annual growth of the Fund:

Source: Tian Tian Fund Network (202 1. 12.09).

Hao Chen began to manage the fund on May 65438+4, 2004, and has served for more than seven years. In these seven years, only 20 16 and 20 18 he lost the Shanghai and Shenzhen 300 index, and he beat the Shanghai and Shenzhen 300 index at other times, and the income was satisfactory.

However, the historical performance of the fund does not represent the future performance, but it can be used as a reference index for investors to choose the fund. In addition, it is necessary to analyze the risk indicators of the fund and the situation of the fund manager. In addition, the fund should choose the one that suits it. If you can't afford too high a risk, then choose a fund with lower risk. Finally, remind investors that the fund is risky and investment needs to be cautious.