Can.
Because it is a very good choice because Huachen Future Fund Management Co., Ltd. received approval from the China Securities Regulatory Commission on March 21, 2012.
The company's office is located in Shanghai, with a registered capital of 200 million yuan.
Implement the principle of giving priority to investors' interests, establish the concept of long-term value investment, and concentrate on the business strategy of market segmentation.
The business scope of Huachen Future Fund Management Co., Ltd. is: fund raising, fund sales, specific customer asset management, asset management and other businesses licensed by the China Securities Regulatory Commission.
: 1. Huachen Future Fund Company’s business, special account financial management, is also called specific customer asset management business, which means that the fund management company raises funds from specific customers or accepts property entrustment from specific customers as asset managers, and commercial banks serve as asset custodians and provide assets for
For the benefit of clients, the entrusted property is used for securities investment activities.
In a sense, the operation mode of special account financial management is similar to that of private equity funds.
According to the investment needs and risk preferences of high-end customers, we can provide customers with "tailor-made" financial services to fully meet the personalized and specific financial needs of high-end customers.
The special account financial management business is divided into "one-to-one" special accounts and "one-to-many" special funds according to the business form.
2. Are funds stocks? Funds are not stocks.
Funds can be divided into broad and narrow senses. In a broad sense, a fund refers to a certain amount of funds established for a certain purpose.
What people usually call funds mainly refers to securities investment funds.
The ownership certificate issued by a stock company is a type of security issued by the company to each shareholder as a shareholding certificate in order to raise funds and obtain dividends and dividends.
Stocks can be transferred and bought and sold and are the main long-term credit instrument in the capital market.
3. How to withdraw all the fund money and redeem all the funds. It should be noted that when the fund is redeemed, the fund shares are displayed, not the total fund amount, because the fund is calculated based on the net value at the close of the trading day, and
When the fund is redeemed on the same day, the net value of the fund is unknown, and only the fund shares are determined. Therefore, when the fund is redeemed, it is the fund shares that are redeemed. The total fund amount = net fund value * fund shares.
4. Characteristics of the Fund: ① Convenient investment and strong liquidity.
Investors can decide the amount of investment in the fund based on their own financial resources; ② The risk is relatively low. The fund is composed of knowledgeable investment experts who use scientific methods to study various investment products, and generally have profound investment analysis theoretical foundation and rich experience.
Practical experience; ③ Information transparency and strict supervision.
The China Securities Regulatory Commission strictly controls behaviors that are detrimental to the interests of investors, and forces funds to make more adequate information disclosures; ④ Portfolio investment to diversify risks.
The fund can fully enjoy the strong economic strength formed by portfolio investment and diversify the risks of concentrated investment in individual stocks.