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Central Europe Alpha Mixed A Fund
Today, Bian Xiao sorted out the relevant knowledge about Euro-Alpha mixed A in the fund, hoping to help everyone. If you have different opinions, please criticize and correct me.

A hybrid fund managed by China Europe Fund Management Co., Ltd. was established on 20 15 12.30. The investment goal of the Fund is long-term capital appreciation, and long-term stable growth of assets can be achieved by investing in stocks and fixed-income assets. The investment scope of the Fund mainly covers the A-share market, and can also be invested in the H-share market, B-share market, New Third Board market and convertible bond market, aiming at providing investors with diversified investment options.

Our investment strategy is mainly based on the concept of value investment and growth investment. Through in-depth research and analysis of the company's fundamentals, industry prosperity and macroeconomic situation, the fund management team selects high-quality companies for investment. At the same time, the fund will also pay attention to the growth and profitability of enterprises, focusing on enterprises with core competitiveness and strong profitability in order to obtain long-term capital appreciation.

Since its establishment, our performance has been excellent. As of June 30, 20021year, the cumulative net growth rate of the Fund was 108.58%, and the cumulative net growth rate of the benchmark Shanghai and Shenzhen 300 Index was 96.53% in the same period. It can be seen that the fund can obtain certain excess returns in long-term investment, which brings good returns to investors.

Risk suggests that there are risks in investment funds, and investors need to carefully evaluate their risk tolerance before buying. Risks mainly come from market risks, industry risks and investment management risks. Fund managers will make adjustments according to the investment direction and market conditions, but they cannot guarantee the investment value and rate of return of the fund. At the same time, the fund's investment portfolio will also be affected by factors such as the stock market environment and policy regulation, which may affect the fund's net value.

It is a mixed fund which focuses on value investment and growth investment. It can provide investors with diversified investment options and obtain certain excess returns in long-term investment. However, before investing, we should carefully evaluate the risks and avoid unnecessary losses.