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009023 Who is the manager?
009023 The manager is Hu Ying. 009023 is the code of Penghua Steady Return Hybrid Fund. Penghua Fund Management Co., Ltd. was established on February 22nd, 1998, and its business scope includes fund raising, fund sales and asset management of Penghua Fund Management Co., Ltd. approved by China Securities Regulatory Commission. The shareholders of the company are Guo Xin Securities Co., Ltd., Olinson Financial Group and Shenzhen Beirongxin Investment Development Co., Ltd., and their contribution ratios are 50%, 49% and 1% respectively.

1, fund

Funds have broad and narrow definitions. Broadly speaking, it refers to a certain amount of funds set up for a certain purpose, such as trust and investment funds, provident funds, retirement funds, etc. In a narrow sense, it refers to funds with specific purposes and uses. Usually, funds mainly refer to securities investment funds. The income of securities investment funds comes from the future, and the performance of the income is inseparable from the performance of the investment target market, which has certain risks.

2. Is the fund a stock?

Funds are not stocks. Funds have broad and narrow definitions. A fund in a broad sense refers to a certain amount of funds set up for a certain purpose. People usually refer to funds mainly as securities investment funds. The ownership certificate issued by a joint-stock company is a kind of valuable securities issued by a joint-stock company to shareholders for raising funds and obtaining dividends and bonuses. Stock can be transferred and traded, and it is the main long-term credit tool in the capital market.

3. Is the fund income compound interest?

Not all fund returns are calculated by compound interest. Compound interest means that every time a fund has an interest period, it will summarize the interest and principal it generates, and then calculate it into the interest generated in the next period in the form of cost. Compound interest is to continue to create more interest with interest. Simply put, it is what people usually call rolling interest.

4. What is the investment of the fund?

Fund is an indirect way of securities investment. By issuing fund shares, fund management companies concentrate investors' funds, which are managed by fund custodians (that is, qualified banks) and managed and used by fund managers to invest in financial instruments such as stocks and bonds, and then bear the investment risks and share the benefits. The expenses incurred in the operation of the fund are fund expenses, and some expenses constitute the income sources of fund managers, custodians, sales organizations and other parties. The cost of open-end fund includes direct cost and indirect cost.