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多家基金公司发布的二季度策略报告显示,“震荡向上”成为二季度A股市场的关键词。市场波动中,投资者选择基金的难度进一步增加。对此,业内专家建议,分级基金同时含有杠杆份额和类固定收益份额,其杠杆份额在市场反弹期,可获得超越市场平均水平的收益,对于风险承受力高的投资者可适当参与;而稳健投资者则可选择类固定收益份额,在震荡市拥有“安心”收
A number of fund companies released in the second quarter strategy report shows that “shock up ” became the second quarter of the A-share market keywords. In the market volatility, the difficulty of investors in selecting funds is further increased. In this regard, industry experts suggest that the classification of funds also contain leverage share and fixed income share, the leverage in the market rebound period, can be obtained beyond the market average returns for investors with high risk tolerance may be appropriate to participate; and robust Investors can choose a fixed income share, in shock City has “peace of mind ” income