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China Europe Fund Management Co., Ltd. Investment Strategy Group
All investment divisions under CEIBS Fund independently invest according to their own investment procedures, forming clear investment styles and differentiated products, and providing investors with financial solutions with both depth and breadth. Team leader: Liu Mingyue.

Master of Finance, Jinan University, 10 years of securities experience. 20 14 12 joined central Europe, and set up a high alpha strategy group as the investment director. He used to be a researcher, strategy researcher, deputy general manager of R&D department, general manager of institutional investment department, fund manager and deputy general manager of equity investment department I..

Investment style:

Attack is the best defense, good at high growth, strong cycle and pursuing high returns.

Honors/awards:

Top Ten Best Fund Managers for Stock Investment in Five Years (China Fund News, 20 14/9)

Guangfa Jurui: 20 12 Three-year Golden Bull Fund Award (china securities journal, 20 13/4).

Guangfa Jurui: 20 12, 20 13 (Securities Times, 20 13/4, 20 14/4) Strategy Team Leader: Zhou Weiwen.

Master of Management in Peking University, 16 securities experience. Currently, he is the investment director of China-Europe Industrial Choice Strategy Group, a researcher of Everbright Securities Research Institute, and the manager of Guo Fu Tianhe Fund.

Investment style: Take the industry prosperity as the main investment basis, take into account the trend and value, and choose the industries and beneficiary companies with good prospects in the next 2-3 years.

Honor/reward

China-Europe New Blue Chip Fund:

In 20 1 1, 20 12 and 20 13 years, it won the "three-year continuous return active hybrid star fund award" (Securities Times). Team leader: Cao Jianfei.

Master of Statistics from National University of Singapore, Master of Economics from Nankai University, 13 years experience in securities industry. On April 20 14, he joined the China Europe fund as the head of the growth strategy group. Successive changjiang securities analysts; Researcher and assistant fund manager of Taixin Fund; Researcher and assistant fund manager of Huabao Industrial Fund; Investment director of Agricultural Bank of China Huili Fund.

Investment style:

Growth stocks with growth logic+theme opportunities to share opportunities for economic transformation

Honor/reward

Cao Jianfei once managed to:

Agricultural Bank won the Golden Bull Fund (20 12, china securities journal) for its industry growth. Leader of strategy group: Wang Jian.

Master of biophysics, Zhejiang University, 12 years working experience in securities industry. 2065438+Joined China Europe Fund in June 2005, and is currently the head of the Balance Strategy Group. He once worked in Shanghai Genetically Modified Research Center, once worked as a medical researcher of Hongta Securities and Everbright Prudential Fund, a senior researcher in the investment department, an investment manager in the asset management department of specific customers, a deputy director of the equity investment department, a hybrid fund manager of Everbright Dynamic Optimization, and a stock fund manager of Everbright Silver Hair Business Opportunities.

Investment style:

The position is stable, the shareholding is relatively scattered, and the allocation is relatively balanced and stable.

Honor/reward

Everbright Prudential Credit was obtained by Ms. Wang Jian's dynamic optimization on 2009/10/28-2015/30.

Head of strategy group of five-year open hybrid sustainable win Taurus Fund (china securities journal, 2065438+March 2005): Cao Mingchang.

Master of Economics, Shanghai University of Finance and Economics, 18 years experience in securities industry. 2065 438+06 05 18 Joined China Europe International Business School, established the Value Investment Strategy Group, and served as the head of the strategy group. He used to be a researcher at Junan Securities Research Institute, a researcher at Minfa Securities Shanghai R&D Center, an investment manager at Hongta Securities Asset Management Headquarters, an investment manager at Bai Rui Trust Co., Ltd., an assistant to the general manager of Xinhua Fund Management Co., Ltd. and a fund manager.

Investment style: high position value investment, based on long-term investment, focusing on dynamic equilibrium and safety margin.

Honor/reward

From July 2006 to June 9, 2006+02–2065438+05, the Xinhua Preferred Bonus Portfolio managed separately obtained:

Head of the five-year five-star rating strategy group of Morningstar, Galaxy Securities and Haitong Securities (as of 20 15/4/24): Lu Wenjun.

Peking University, Bachelor of Economics, 17 years experience in securities industry. 20/kloc-joined China Europe fund in September/March, and is currently the investment director of the absolute return strategy group of China Europe fund. He used to be the deputy general manager of Yin Hua Fund, the vice chairman of the investment decision-making committee of A-share funds, the investment director of A-share funds, the preferred stock of Yin Hua core values, and the manager of Yin Hua Harmonious Theme Mixed Fund.

Investment style: All-weather investor, earning absolute income under flexible and multi-strategy strategy. Team leader: Zhou Yuxiong.

Master of Engineering, 18 years working experience in securities industry. 20 14 joined the China-Europe fund in February,14. He used to be a researcher of Huaan Fund, executive general manager of asset management department of CITIC Securities, head of equity investment business and social security portfolio investment manager. He is currently the investment director of the Fundamental Trend Strategy Group of China Europe Fund.

Investment style: based on fundamentals, seize the trend opportunity to obtain excess returns. Team leader: Diao Yu.

Ph.D. in financial mathematics and financial engineering, with 8 years experience in securities industry. He once worked in Guotai Junan, and was once the fund manager of Wells Fargo Fund and assistant director of fixed income department. He is currently the head of the fixed income strategy group.

Investment style: adjust the portfolio structure through the fundamental research of the whole industry chain and the judgment of the valuation cycle, aiming at absolute return and high Sharp ratio. Leader of strategy group: Zhao.

Master of International Finance in Tsinghua University, 1 1 year experience in inter-bank bond investment. 2065438+Joined China Europe Fund in June 2005 as the investment director of China Europe Macro Trading Strategy Group. Early domestic interest rate derivatives traders, familiar with various investment tools and institutions. Since 2005, Zhao Nvshi has been a bond trader in the Capital Operation Center of Industrial Bank. Since 2009, he has been the core trader of Bank of America Merrill Lynch in China, and has been rated as an excellent trader for three consecutive years, and served as the deputy director of the global financial market department in China.

Investment style: Based on macro-research, we create excess returns by building a multi-strategy combination of fixed-income varieties. Leader of strategy group: maze.

Master of Computational Finance from Carnegie Mellon University, 9 years experience in securities industry. 2065438+Joined China Europe Fund Management Co., Ltd. in March 2005, and is currently the investment director of Quantitative Investment Strategy Group. He used to be the quantitative investment manager of Millennium Fund in the United States, the fund manager and senior vice president of alternative investment business line of CITIC Securities.

Investment style:

The mathematical model is based on massive data to select stocks and pursue reproducible and sustainable excess returns.

Data start and end time: 20 1 1 20 13,12,31,data source: Wind data, compiled by China Europe Fund.