以性价比锚定风险与收益的更优解,工银瑞信何秀红的“固收+”心法
聪明投资者·2026-01-22 11:08

Core Viewpoint - The correct investment goal should focus on achieving the best combination of risk and return rather than merely seeking the highest returns [2] Group 1: Investment Strategy - Investors should combine ownership assets and debt assets to anchor their investment portfolio in a balanced position of risk and return [3] - The "fixed income +" product has gained popularity among investors, balancing stability and yield enhancement to meet different risk preferences [3] Group 2: Fund Management Expertise - He Xiuhong, a fund manager at ICBC Credit Suisse, has extensive experience across bond, convertible bond, and equity sectors, focusing on macroeconomic fundamentals and asset safety margins [4] - Under her management, several funds have achieved annualized returns above 5% as of the end of 2025 [5] Group 3: Risk Control - He Xiuhong's managed fund, ICBC Ningrui 6-Month Holding Period Mixed Fund, had a maximum drawdown of only 3.07% in 2025, outperforming similar products [6] - The risk control philosophy is embedded in the ICBC Credit Suisse's culture, with a focus on maintaining a stable return while managing risks effectively [6] Group 4: Investment Approach - The investment strategy involves a dual pricing system to capture spread trading opportunities, focusing on macro trends and key variables like real estate and debt cycles [9] - The team employs a dynamic pricing system to recommend higher relative value assets and manage liquidity risks [10] Group 5: Asset Allocation - In 2023, the continuous improvement in the bond market led to a reduction in credit spreads, prompting a shift in asset allocation towards high-quality credit bonds and financial bonds [11][12] - The investment strategy anticipates potential yield increases in the next 1-2 years, leading to adjustments in portfolio duration and leverage [12] Group 6: Performance Metrics - The ICBC Four Seasons Income Fund has consistently performed well since its transformation in 2014, ranking among the top in its category [13] - The fund's maximum drawdown has been better than the average of similar funds, indicating effective risk management [13] Group 7: Equity Investment Strategy - He Xiuhong's equity investments focus on undervalued companies with long-term competitive advantages, with a diversified industry allocation [20] - The fund's stock holdings are concentrated in sectors like food and beverage, electronics, and power equipment, reflecting a balanced approach to growth and stability [20] Group 8: Research and Development Framework - ICBC Credit Suisse has established a comprehensive research framework covering macroeconomic, monetary, credit strategies, and more, ensuring informed investment decisions [31] - The investment team is structured to facilitate knowledge sharing and talent development, enhancing overall investment performance [33] Group 9: Value Proposition of "Fixed Income +" - The "fixed income +" strategy aims to provide sustainable returns within acceptable risk boundaries, focusing on long-term stability rather than short-term gains [34] - This approach allows investors to enjoy a consistent return experience while managing risks effectively [34]