Core Viewpoint - The core investment philosophy emphasizes understanding volatility and risk rather than chasing trends, focusing on long-term returns within a reasonable framework [1]. Group 1: Investment Strategy - The investment framework of "balanced style + dynamic rebalancing" considers certainty and risk premium, aiming for stable performance across different market styles [1][4]. - The latest performance data shows that the funds managed by the company, such as the招商品质发现混合 and 招商优质成长混合(LOF), achieved returns of 52.01% and 34.37% respectively, ranking among the top in their category [1]. - The newly launched 招商均衡优选基金 aims to continue the balanced investment style and dynamic rebalancing approach to provide a good long-term investment experience [2]. Group 2: Market Insights - The current market environment is characterized by an "asset shortage," driving continuous capital inflow into equity markets, with a focus on dividend stocks and traditional consumer sectors [6][7]. - Companies with stable free cash flow are identified as scarce assets in the market, providing steady returns and lower downside risk [7]. - Key industry trends include artificial intelligence, biomedicine, and new consumption, with expectations for growth driven by policy support and consumer demand [7]. Group 3: Risk Management - The strategy includes controlling industry concentration within a reasonable range, typically keeping it within 15%, to mitigate risks associated with over-concentration [5]. - Regular risk analysis is conducted to monitor industry concentration, valuation levels, and expected returns, facilitating dynamic rebalancing to control downside risks [8]. - The investment approach emphasizes patience and discipline, focusing on risk decomposition, volatility diversification, and maintaining a long-term perspective [8].
招商基金吴潇:一位均衡型选手的投资心法
21世纪经济报道·2025-09-01 07:27