How about Debon Anyi holding a hybrid fund for six months?
For a new fund, it is very important to know the past performance of the fund manager. In addition, we also need to understand the characteristics of risk and return and investment strategies.
1 Risk-return characteristics: The Fund is a hybrid fund, and its expected return and expected risk level are higher than those of bond funds and money market funds, but lower than those of equity funds.
2 Investment strategy: The Fund will actively grasp the macro-economic development trend, interest rate trend, bond market relative yield, bond liquidity and credit level within the investment scope agreed in the fund contract, and determine the investment ratio of credit bonds, financial bonds, national bonds and bond repurchase by studying the macro-economic operation, national monetary and fiscal policies, national industrial policies and capital market environment.
In terms of stock investment strategy, the Fund will select high-quality stocks with sustainable growth, competitive advantage and reasonable valuation level from the bottom up on the basis of industry allocation.
3 Fund Manager: Ms. Ding: Master, graduated from China Renmin University, majoring in finance.
20/kloc-joined debon fund in June/June, and now he is the fund manager of the second investment department (fixed income) of the company. As the fund manager of Debon Xintianli Bond Securities Investment Fund, Debon Ruyi Money Market Fund, Debon Short Debt Bond Securities Investment Fund, Debon Anxin Hybrid Securities Investment Fund and Debon Ruize 86-month Fixed Bond Securities Investment Fund.