Core Viewpoint - The A-share equity market has shown strong performance, with the Shanghai Composite Index rising by 3.49% this week, indicating sustained market enthusiasm and a high level of capital inflow into the market [3][4]. Quantitative Strategy Configuration Viewpoints - The ranking of fund strategies is as follows: Stock Enhancement Strategy > Overseas Equity Strategy > Evergreen Low Volatility Strategy, with the stock enhancement strategy showing greater potential in the current market environment [4]. - The A-share market is expected to maintain an upward trend despite potential short-term resistance, with limited room for pullbacks [4]. - The U.S. stock market has been buoyed by easing tariff expectations and strong earnings reports from tech companies, with a potential new round of interest rate cuts expected to provide further momentum [4][6]. Fund Strategy Performance - The Evergreen Low Volatility Fund Strategy recorded a weekly gain of 1.679%, but an excess return of -1.990%, indicating that while it has been stable, it may struggle to capture excess returns in a strong market [5][9]. - The Stock Enhancement Fund Strategy achieved a weekly return of 2.719% with an excess return of -0.949%, suggesting that it is well-positioned to capture alpha as the market evolves [5][9]. - The Cash Growth Fund Strategy yielded a return of 0.028%, outperforming the benchmark, with cumulative excess returns of 0.476% since its inception [5][9]. Overseas Equity Fund Strategy - The Overseas Equity Fund Strategy experienced a decline of -1.171% this week, with an excess return of -5.022%, reflecting the impact of tariff tensions and subsequent market adjustments [6][9]. - Despite recent volatility, the U.S. economy shows no significant signs of recession, and the ongoing technological advancements are expected to drive future growth in the U.S. stock market [6][9]. Fund Combination Construction Ideas - The company emphasizes the need for a quantitative approach to fund selection to meet the diverse needs of investors in different market environments and risk preferences [19][20]. - The Evergreen Low Volatility Fund aims to provide stable returns while minimizing volatility, making it suitable for risk-averse investors [21]. - The Stock Enhancement Fund focuses on identifying funds with strong alpha generation capabilities, aiming to deliver superior performance in favorable market conditions [22]. - The Cash Growth Fund is designed to optimize returns on cash management, ensuring investors can achieve higher yields with reduced risk [23]. - The Overseas Equity Fund seeks to provide global diversification by selecting high-potential international equity indices for investment [24].
【公募基金】市场情绪持续升温,策略指数再创新高——公募基金量化遴选类策略指数跟踪周报(2025.08.24)
华宝财富魔方·2025-08-26 09:33