Investment Insights - A-shares have rebounded after tariff impacts, but the momentum has weakened, with the CSI All Share Index rising 0.3% this week, while the CSI Active Equity Fund Index fell 0.23% [1] - The Evergreen Low Volatility Strategy continues to benefit from volatile markets, gaining 0.87% this week and recording excess returns of 1.1% [1] Quantitative Strategy Allocation - The Evergreen Low Volatility Strategy is favored over overseas equity strategies and enhanced equity strategies due to its performance during recent market volatility [2] - Defensive sectors, such as dividend styles, have performed well, and the Evergreen Low Volatility Strategy has accumulated excess returns during this period [2] - The overseas market has priced in most tariff impacts, and with a potential easing of tensions, there may be short-term opportunities for investors with low overseas exposure [2] Fund Strategy Performance - The Evergreen Low Volatility Fund Strategy recorded a return of 0.873% this week, with excess returns of 1.103%, demonstrating strong stability since February 2025 [3] - The Enhanced Equity Fund Strategy also rose by 0.345% this week, with excess returns of 0.575%, but its performance may improve as market conditions evolve [3] - The Cash Growth Fund Strategy achieved a return of 0.031%, outperforming the benchmark, with cumulative excess returns of 0.384% since its inception [3] Overseas Equity Fund Strategy - The overseas equity allocation strategy rebounded with a return of 3.463% this week, despite ongoing concerns in the U.S. market [4] - The U.S. economy has not shown significant signs of recession, and technological advancements may drive a new market cycle [4] Fund Performance Summary - Evergreen Low Volatility Fund Strategy: 0.873% this week, -3.214% over the past month, 6.563% year-to-date [5] - Enhanced Equity Fund Strategy: 0.345% this week, -5.363% over the past month, 6.080% year-to-date [5] - Cash Growth Fund Strategy: 0.031% this week, 0.146% over the past month, 3.389% year-to-date [5] - Overseas Equity Fund Strategy: 3.463% this week, -5.819% over the past month, 18.540% year-to-date [5] Fund Strategy Construction - The Evergreen Low Volatility Fund aims to select funds with long-term stable returns, focusing on low volatility and drawdown characteristics [6][16] - The Enhanced Equity Fund seeks to identify funds with strong alpha generation capabilities, aiming for higher returns in improving market conditions [8][18] - The Cash Growth Fund focuses on selecting high-yield money market funds to optimize short-term cash management [10][19] - The Overseas Equity Allocation Fund utilizes momentum and reversal factors to select international equity indices for diversified investment [12][20]
【公募基金】低波策略持续录得超额,波动行情下优势尽显——公募基金量化遴选类策略指数跟踪周报(2025.04.20)
华宝财富魔方·2025-04-22 10:53