Core Viewpoints - The A-share market is experiencing a volatile trend, with the Shanghai Composite Index stabilizing around 4000 points, indicating increased difficulty in market navigation due to rapid sector rotation and differentiation [3][4] - Global markets are also showing signs of volatility, with the Nasdaq index experiencing a continuous decline since November due to liquidity concerns and skepticism regarding AI capital expenditures [3][4] Quantitative Strategy Allocation Views - The preferred strategy allocation is: Equity Enhancement Strategy > Overseas Equity Strategy > Evergreen Low Volatility Strategy, reflecting a more flexible approach in the current market environment [4] - Despite short-term pressures, the market is expected to maintain an upward trend in the medium to long term, with limited downside potential [4] Fund Strategy Performance - The Evergreen Low Volatility Fund Strategy achieved a weekly return of 0.537%, with cumulative excess returns of 1.412% since its inception [5] - The Equity Enhancement Fund Strategy recorded a weekly return of -0.056%, indicating challenges in generating excess returns in the current market environment [5] - The Cash Growth Fund Strategy outperformed the benchmark with a weekly return of 0.027%, accumulating excess returns of 0.534% since its launch [5] Overseas Equity Strategy Performance - The Overseas Equity Allocation Fund Strategy reported a weekly return of 0.638%, with a cumulative excess return of 1.170%, benefiting from the ongoing technological advancements and economic stability in the U.S. [6] Fund Combination Performance Tracking - The Evergreen Low Volatility Fund Strategy has consistently maintained lower volatility and drawdown compared to the benchmark, achieving a return of 15.124% year-to-date [9] - The Equity Enhancement Fund Strategy has shown a return of 21.428% year-to-date, closely tracking the benchmark [9] - The Cash Growth Fund Strategy has achieved a year-to-date return of 1.361%, outperforming the benchmark [9] - The Overseas Equity Allocation Fund Strategy has recorded a year-to-date return of 11.935%, indicating strong performance in the global market context [9] Fund Combination Construction Ideas - The Evergreen Low Volatility Fund Combination aims to provide stable returns in high-risk environments, appealing to investors seeking lower risk profiles [20][22] - The Equity Enhancement Fund Combination focuses on identifying funds with strong alpha generation capabilities, aiming for higher returns in improving market conditions [23] - The Cash Growth Fund Combination is designed to optimize short-term cash management, ensuring higher yields while minimizing volatility [24] - The Overseas Equity Allocation Fund Combination seeks to enhance global asset allocation, providing investors with diversified exposure to international markets [25]
【公募基金】全球市场震荡因素增加,常青低波策略优势显现——公募基金量化遴选类策略指数跟踪周报(2025.11.16)
华宝财富魔方·2025-11-18 13:30