How about going to Yinfengyi Mixed Fund?
For a new fund, we can get a preliminary understanding from the perspectives of risk-return characteristics, investment strategy and fund manager.
1 Risk-return characteristics: The Fund is a hybrid fund, and its expected return and expected risk level are higher than those of bond funds and money market funds, but lower than those of equity funds. Specifically, the Fund mainly invests in fixed-income financial assets such as bonds, and some of them invest in selected stock assets. Through flexible asset allocation and strict risk management, we will strive to achieve long-term sustained and stable appreciation of fund assets.
2. Investment strategy: The allocation of the main assets of the Fund adopts a top-down multi-factor analysis decision support system. The allocation ratio of the Fund's assets in stocks, bonds and money market instruments is determined by combining qualitative analysis and quantitative analysis, and the allocation ratio is dynamically adjusted with the relative changes of the risk-return characteristics of various securities to balance the risk-return of the portfolio.
In terms of stock investment strategy, the Fund will adopt a combination of qualitative and quantitative methods to evaluate and excavate listed companies with undervalued prices, excellent quality and good future growth.
3 Fund Manager: Mr. Chen Bo: Master, joined Shanghai Bank Fund from 2065438 to August 2006, and has served as a fund researcher and assistant fund manager of Shanghai Bank. On February 3, 2020, he served as the fund manager of Shanghai Bank Xinda Flexible Allocation Hybrid Securities Investment Fund. June, 2020165438+1October 17 as the fund manager of future life flexible allocation hybrid securities investment fund.