1. Investment risk refers to the risk of loss or bankruptcy that investors may bear in future business and financial activities in order to achieve their investment purposes. Investment risk is the most important prediction and analysis content when investors decide whether to invest or not. The main factors leading to investment risk are: changes in government policies, mistakes in management measures, sharp rise in the prices of important materials that form the cost of products or sharp drop in product prices, and sharp rise in the interest rate of loans. To sum up, there are many ways to invest, and skills are needed at that time. There is a lot of knowledge to learn. For example, if the fund belongs to Class C, there is no subscription fee, and the redemption fee is 0, because the redemption fee is exempted for more than 30 days. It would be helpful to know some details.
2. Rich country state-owned enterprise bond fund C000 14 1 is a bond fund, and this fund is a bond fund, belonging to the lower-risk variety of securities investment funds. Its expected risk and expected return are higher than those of money market funds, but lower than those of hybrid funds and equity funds. State-owned bonds, bonds and C funds in rich countries may lose money. Investment objective: The Fund takes the bonds of state-owned enterprises as the main investment object, reasonably controls the credit risk, conducts proactive investment management on the basis of pursuing the safety of principal, and strives to realize the long-term stable appreciation of fund assets.
3. The main issuer of Guo Fu Credit Bond C is Guo Fu Fund, which was established on 1999. In 2003, Bank of Montreal took a stake in Guo Fu Fund, and Guo Fu Fund Management Co., Ltd. became the first foreign-invested fund management company in China. Rich country credit bond bond C has been established for more than 5 years and has certain stability. It is reported that the current unit net value of Guo Fu Credit Bond C is 1.0732. Since its establishment, it has performed well. In recent March, the income level has performed well, and the income and risk levels are relatively stable. Because the risk level of the fund is medium-low risk and the short-term net value fluctuates greatly, the long-term profitability of the fund is competitive among similar funds.