Today, Xiaobian saw a lot of discussions on the Internet about the hybrid fund with harmonious growth of 1, families. Xiaobian summarized the relevant knowledge by querying the information on the Internet, hoping to help you. Introduction
is a hybrid fund managed by China Wanjia Fund Company. The fund aims to achieve long-term stable growth by investing in China's domestic stock market and bond market, as well as some overseas investment portfolios. The management team of the fund has rich investment experience and professional knowledge, and can provide investors with quality investment services. Investment strategy of the fund
The investment strategy mainly includes value investment and growth investment. Value investment refers to looking for stocks or bonds that are undervalued by the market in order to get better returns in the future. Growth investment is to find companies or industries with good growth potential in order to obtain high returns in the future. Portfolio of the fund
The fund mainly invests in the domestic stock and bond market in China, and also invests in some overseas markets. In the domestic stock market, the fund mainly invests in large and stable companies, such as China Petroleum and China Mobile. In the bond market, the fund mainly invests in AAA bonds. The fund will also invest in some overseas markets, such as the stock and bond markets in the United States and Europe. Risk management of funds
Risk management mainly includes diversification and risk control. Diversification refers to the diversification of investment portfolio in different industries, companies and regions to reduce investment risks. Risk control is to control investment risks through strict investment decisions, investment restrictions and risk early warning mechanisms. Fund's income performance
In the past few years, its performance has been relatively stable. In 219, the fund's annual return rate was 17.79%, much higher than the average return rate of equity funds in the same period. At the same time, during the epidemic in 22, the fund also showed relative resilience. The fund is a fund product worth investing in.
is a hybrid fund with steady growth as its main goal. It is managed by a professional management team and pays attention to risk management and diversified investment. In the future, the fund is expected to continue to bring stable returns to investors.