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广发基金张雪:以宏观视野驾驭“固收+”的成长之道
远川投资评论· 2025-07-22 04:19
Core Viewpoint - Zhang Xue's "Fixed Income +" fund has maintained a flexible and proactive investment style, successfully navigating market volatility and achieving positive returns through strategic asset allocation and risk management [1][20]. Group 1: Investment Strategy - Zhang Xue reduced the equity allocation in her fund from 18.56% in Q4 2022 to 7.41% by the end of Q1 2023, while increasing bond holdings, which helped stabilize the fund's net value amidst market fluctuations [1]. - The emphasis on timing and asset allocation has been a significant source of excess returns for Zhang Xue, who prefers to avoid marginal bets and focuses on risk-reward ratios [2][20]. - Zhang Xue's investment approach includes a preference for growth stocks in the equity portion, such as innovative pharmaceuticals and TMT sectors, rather than traditional dividend stocks [3][20]. Group 2: Market Analysis and Adaptation - Zhang Xue's unique career path, including nearly seven years in banking, has provided her with a broad macroeconomic perspective, which she applies to her investment decisions [6]. - The current low-interest-rate environment has prompted Zhang Xue to seek products that balance risk and return, moving away from purely defensive strategies [19]. - In 2024, Zhang Xue noted that China's long-term bonds have entered a "no man's land," indicating a need for enhanced risk management in her portfolio [7]. Group 3: Research and Collaboration - Zhang Xue benefits from extensive research support from various teams within the company, including macro strategy and equity research, which enhances her investment decision-making process [13][16]. - The collaboration with research teams allows Zhang Xue to effectively navigate complex sectors like innovative pharmaceuticals, where she has developed a strong understanding through continuous engagement with industry experts [15][17]. - Zhang Xue's proactive approach includes tracking asset performance over extended periods before making investment decisions, ensuring that her portfolio remains aligned with market dynamics [10]. Group 4: Performance and Philosophy - Zhang Xue's investment philosophy emphasizes the importance of maintaining a balance between risk and growth, believing that China still has significant growth potential beyond traditional dividend-paying stocks [20]. - Her funds have consistently achieved positive returns, with annualized volatility lower than that of similar funds, reflecting her effective risk management and strategic asset allocation [20][21]. - Zhang Xue likens her investment style to that of an off-road vehicle driver, aiming to provide clients with a smooth investment experience despite market challenges [21].
基金经理研究系列报告之六十九:广发基金张雪:宏观视角驱动多资产投资,左侧布局把握景气拐点
2025 年 06 月 28 日 广发基金张雪:宏观视角驱动多资 产投资,左侧布局把握景气拐点 ——基金经理研究系列报告之六十九 证 相关研究 - 证券分析师 肖逸芳 A0230524110001 xiaoyf@swsresearch.com 邓虎 A0230520070003 denghu@swsresearch.com 蒋辛 A0230521080002 jiangxin@swsresearch.com 联系人 肖逸芳 (8621)23297818× xiaoyf@swsresearch.com 本研究报告仅通过邮件提供给 中庚基金 使用。1 请务必仔细阅读正文之后的各项信息披露与声明 权 益 量 化 研 究 量 化 策 略 券 研 究 报 告 ⚫ 广发基金张雪:证券从业年限 16.8 年,10 年公募基金投资经验,拥有丰富的固收投资和 多资产配置经验。2021 年 12 月加入广发基金,任混合投资部副总经理,2022 年 3 月开 始陆续接手管理广发价值回报、广发恒通六个月持有、广发集远、广发安润一年持有、广 发集轩等产品。曾任北京银行资金交易部债券交易员,摩根士丹利华鑫基金固定收益投资 部基金经理、固 ...