1. What is Guo Fu Tianhui Fund?
"Guo Fu Tianhui" Fund is an investment fund and a professional investment product launched by Guo Fu Fund Management Company. Its main investment strategy is to invest in the stocks of listed companies in China A-share market, aiming at optimizing asset allocation and obtaining excess returns.
2. Characteristics of "Rich Countries and Profits" Fund
(1) adopts portfolio investment strategy, mainly investing in stocks of listed companies in China A-share market, so as to optimize asset allocation and obtain excess returns.
(2) adopting flexible investment strategy can adjust the investment portfolio in time according to the changes of market conditions in order to obtain the maximum income.
(3) Adopting a proactive risk management strategy can effectively control investment risks and ensure the safety of investors' funds.
3. Investment risk of Guo Fu Tianhui Fund
The investment risks of Guo Fu Tianhui Fund mainly include market risk, liquidity risk and portfolio risk, among which market risk is the biggest risk faced by investors, and portfolio risk is also an important risk faced by investors.
"Guo Fu Tianhui" fund is an investment fund, which mainly invests in the stocks of listed companies in China A-share market by adopting portfolio investment strategy, so as to optimize asset allocation and obtain excess returns. It adopts flexible investment strategy, which can adjust the investment portfolio in time according to the changes of market conditions in order to obtain the maximum income; Adopting active risk management strategy can effectively control investment risks and ensure the safety of investors' funds. In a word, "Guo Fu Tianhui" fund is a high-yield and low-risk investment fund, which is suitable for medium and long-term investors.