Hybrid funds refer to funds that have no restrictions on stock positions, mainly depending on how fund managers are matched. Stocks, bonds and money markets can all be matched, and there is no clear investment direction. The following small series brings Saturday and Sunday hybrid fund income, I hope you like it.
Do hybrid funds have income on Saturday and Sunday?
Most hybrid funds have no income on Saturday and Sunday, because most hybrid funds' positions will be dominated by stocks, so basically there will be no income on Saturday and Sunday. If the proportion of monetary bond investment in hybrid funds is relatively high, then there will be some income on Saturday and Sunday, so it is mainly based on the investment direction of funds to determine whether there is any income.
The risk of hybrid funds is generally greater than that of money funds and bond funds. Therefore, everyone must be cautious when buying hybrid funds. When buying, you can refer to a past income situation. When choosing, you can give priority to hybrid funds with good past returns. Although the past income does not represent the future, it will still have a certain reference function.
Does the hybrid foundation lose money?
When the market is good, the fund will make money when it goes up. When the market is bad, if the fund falls, it will lose money to the principal, so you need to be careful when buying the fund, and don't buy it at will.
If the risk tolerance is weak, you can consider a debt-biased hybrid fund: 50%~70% of the funds are used to invest in bonds and 20%~40% of the funds are used to invest in stocks, so the risk is relatively small.
Seize the stocks with continuous daily limit.
In the mid-line stock picking skills, if you want to make a medium-long line layout, you must look at the current market situation. You can refer to the annual line (250 antennas) and semi-annual line (120 antennas) of the market index. If the trend is above the annual line and the semi-annual line, it means that it is not a bear market at present. In the face of national policies, investors should not be lucky enough to grab the rebound or choose to buy people, but should wait and see to clear their positions. If the stock market rises sharply, it is necessary to follow the trend and hold shares in the medium term.
Mid-line stock selection should be comprehensively analyzed from six aspects: K-line shape, technical index, relative price, company fundamentals, market trend and stock theme. We should give up some stocks with high P/E ratio and prices much higher than their intrinsic values.
As for how to seize the stocks with continuous daily limit? The initial share price rose by more than 6%; Must be "heavy"; The greater the increase, the stronger the trend and the more favorable it is. Among the key conditions of daily limit, the opening price is 2-3 points higher and the opening price is not more than 2 points lower. The decline process cannot be heavy, and the heavy volume is suspected of shipping; The closing price is near yesterday's closing price, so it is best not to form a gap.