The investment scope of the Fund is to maintain not less than 5% of cash and government bonds.
This fund is a pure debt fund, which does not participate in stocks and convertible bonds and is insensitive to stock market fluctuations. Focus on fixed-income investments, strive to give full play to the characteristics of relatively stable and low-risk assets of this kind, and the income is relatively stable, which is suitable for investors who pursue low risk.
The fund can be actively recommended to stable investors.