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In The Shock Market, The Advantages Of The Securities Asset Management Plan Appear.

2011/7/21 13:35:00 68

Asset Management In Securities Market In Shock Market

Under the new environment of CPI, the intensity of policy regulation in 2011 has been increasing. Under the dual influence of policy tightening and slowing economic growth, China's capital market is destined to be a shock market.

However, investment opportunities will continue to emerge along with economic restructuring and upgrading of consumption. Strategic emerging industries, traditional revival industries, consumption upgrading and undervalued stocks will become a beautiful landscape in the shock market, becoming the main line of speculation throughout the whole year.


Because growth is higher in bull market

Hybrid fund

The bear market is better than the equity fund, and the securities asset management plan product has proved that such products are the best choice for investors in the concussion market.

In the shock market of 2011, the securities asset management plan products with strong investment style and outstanding historical performance were favored by investors.

Donghai securities is still operating 5 sets of asset management plan product performance far exceeded the trend of the same period, the yield is ranked the same period of the same kind of financial products.

As of May 20, 2011, the cumulative yield of Dongfeng 2 asset management plan set up in June 2008 was as high as 49.13%. In August 2009, the cumulative yield of Dongfeng 3 asset management plan set up in August 2009 was as high as 12.60%. The total yield of Dongfeng 5 asset management plan set up in April 2010 was as high as 16.86%; the cumulative yield of Dongfeng 6 aggregate asset management plan set up in August 2010 was as high as 0.38%; the cumulative yield of the Donghai sdvm product set up by December 2010 was as high as 1.10% (data source: Wind information).

Reporters learned that Donghai securities Dongfeng 8 collection asset management plan products since July received a hot reception in CITIC Bank.


Reporter from

CITIC Bank

Financial management office understands that Dongfeng 8 not only balances investment in positions, but also has a relatively balanced choice of investment direction: long-term concern about industry upgrading industry, short-term focus on anti inflation, policy benefit industries and mergers and acquisitions themes.

The investment team of Donghai securities is a high-quality young elite team with a strong investment style.

Investment concept

Maturity.


Moreover, the flexible location of Dongfeng 8 is conducive to achieving better results in the shock market.

Because Dongfeng No. 8 equity and fixed class positions can float between 0-95%, asset allocation is extremely flexible, the lowest stock position can be zero, and the advantage is prominent under the shock market.

It is believed that the securities asset management plan product is a good choice for investors to avoid risks and asset appreciation in the volatile market.


 
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