Current location - Trademark Inquiry Complete Network - Tian Tian Fund - Warburg Industry Select Blend
Warburg Industry Select Blend

Today, the editor has compiled relevant knowledge about Huabao Industry Selected Mixing. I hope it will be helpful to you. If you have different opinions, please criticize and correct me.

Fund Introduction The fund is a hybrid fund managed by Huabao Fund Management Co., Ltd. It was established in 2011. It aims to discover high-growth, high-quality companies through in-depth research and analysis of the industry, and achieve long-term stable returns.

At the same time, we control risks and create excellent investment returns for investors.

As of August 31, 2021, the fund's cumulative net value growth rate was 172.05%, which was much higher than the growth rate of the Shanghai Composite Index during the same period.

At the same time, the fund has also won many outstanding performance awards from the industry and has become one of the first-choice funds among many investors.

Fund investment strategy The fund's investment strategy mainly includes two aspects: first, through in-depth research and analysis of the industry, discovering high-growth, high-quality companies; second, using various investment methods such as value investment, growth investment, and technical analysis,

Control risks and achieve long-term stable returns.

In terms of industry selection, the foundation explores companies with investment value through comprehensive consideration of the company's financial status, market position, industry prospects and other factors.

At the same time, the fund will also focus on diversified investments to avoid excessive concentration in a single industry or single stock and control risks.

Fund Investment Target The fund mainly invests in the A-share market, including but not limited to finance, consumer, technology, medicine, industry and other industries.

Specific targets include Kweichow Moutai, Hikvision, Ping An, China Merchants Bank, Wuliangye, China Mobile, etc.

At the same time, the fund will also adjust its investment targets according to market changes and industry trends to maintain the flexibility and adaptability of the portfolio.

Fund risk control The fund's risk control mainly includes the following aspects: first, reducing investment risks by diversifying investments and controlling single industry and single stock positions; second, focusing on value investment, exploring companies with growth potential and high quality, and increasing investment

The third is to track market changes and industry trends in a timely manner, flexibly adjust investment portfolios, and reduce risks caused by market fluctuations.

Fund Investor Suitability This fund is suitable for investors with long-term investment and moderate risk appetite.

At the same time, since the fund mainly invests in the A-share market, it has certain market risks and industry risks. Investors need to have certain market analysis and industry research capabilities in order to better understand and grasp market changes and industry trends, and make decisions.

Smarter investment decisions.