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在内外经济环境不确定性加强,2011年市场震荡幅度可能加大的情况下,基金总体投资策略为:减持债券型基金,增持货币型基金,对偏股型基金进行灵活配置,同时风险承受能力较强的投资者可采取紧跟市场趋势对ETF等指数型基金进行波段操作。
With the uncertainty of the economic environment both inside and outside China strengthened and the market volatility likely to increase in 2011, the overall investment strategy of the fund is to reduce the holding of bond funds, increase the holdings of currency funds and make flexible allocation of partial stock funds while risks Strongly tolerant investors can follow the market trend to ETF and other index funds band operation.