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A股结构分化加剧 均衡基金重回投资视野
Zheng Quan Shi Bao· 2025-09-03 21:17
良好的收益水平以及风险控制能力,使得广发均衡成长A的风险收益性价比处于较高水平。Wind数 据显示,广发均衡成长A成立以来至8月29日的夏普比率为2.05,在4180只偏股混合型基金中排名前1% 分位。 广发均衡成长的基金经理杨冬,是一位从业19年、投资超过14年的投研老将,其参与管理的广发多 因子、广发价值领航一年、广发瑞誉、广发均衡成长等主动权益基金,均取得良好的业绩。在组合管理 上,杨冬偏好先自上而下优选行业和风格,再自下而上精选估值相对合理、具有独特竞争壁垒的个股进 行配置。 产品定期报告显示,广发均衡成长在配置上呈现行业多元分散、风格均衡的特征。行业方面,以电 子、通信、电力设备、创新药等成长行业为主,在持仓中占有较大比重;同时,也配置了以非银金融、 银行为代表的低估值稳增长行业,和以化工为代表的顺周期行业。整体来看,组合的行业覆盖面较广, 前三大行业持仓占股票投资市值的权重大多控制在65%以下。 证券时报记者 安仲文 近期A股高位震荡,波动性可能加大。在市场投资情绪高涨的环境中,择机布局仍然是许多投资者 关注的问题。多位公募人士判断,业绩优异的均衡风格基金有望在控制风险的前提下跑赢市场,在获取 超 ...
A股结构分化加剧均衡基金重回投资视野
Zheng Quan Shi Bao· 2025-09-03 18:21
Core Viewpoint - The A-share market is experiencing high volatility, and investors are focusing on strategic positioning to achieve excess returns while controlling risks [1] Group 1: Fund Performance - The Guangfa Balanced Growth Fund has shown strong performance with a one-year return of 55.03%, outperforming its benchmark by 23.89% [1] - The fund's maximum drawdown since inception is 12.59%, which is lower than the over 15% drawdown of the CSI 300 Index and the Wind Mixed Equity Fund Index [1] - The fund's Sharpe ratio is 2.05, placing it in the top 1% among 4180 mixed equity funds [1] Group 2: Fund Manager and Strategy - Yang Dong, the fund manager, has 19 years of experience and focuses on top-down industry selection followed by bottom-up stock selection [2] - The fund's portfolio is diversified across various industries, with significant allocations in electronics, communications, and innovative pharmaceuticals [2] - The top ten holdings account for 41.18% of the fund's net asset value, with individual stock weights ranging from 1% to 2% [2] Group 3: Future Outlook - Yang Dong is optimistic about the A-share market, highlighting three trends: the growth of industries like AI and electronics, a shift in asset allocation towards equities and funds, and supportive policies that may stabilize the market [3]