1.The A-share market is huge and diverse, providing investors with a large number of diversified investment opportunities. The correlation between A shares and developed markets is 0.39, and the correlation between A shares and emerging markets is 0.49. Since 20 13, the correlation between China's national debt and global national debt is low, only 0.24, which is beneficial for global investors to diversify their investments. Due to the low position of investors in the above two assets, the potential upside brought by improving the relevant allocation is worth looking forward to. So Castle invested in Asia Limited to make money.