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投资者在日常交易中,须通过基金公司公布的基金净值(开放式基金)和定期披露的基金资产组合情况,掌握一定的投资信息。基金投资的整体情况和全面经营业绩是按年度计算反映的,相对于日常的基金信息披露等,基金年报揭示的信息更加全面、综合,因此,如何分析基金公司的年报,挖掘潜在投资价值,成为投资者尤为关注的问题。基金公司的年度报告通常在每年的3、4月份发布。年报包括管理人报告、财务报告和投资组合报告等重要信息。基
Investors in daily trading, fund companies must be announced by the net fund (open-end fund) and regularly disclosed fund assets portfolio, to grasp some of the investment information. The overall investment performance of the fund and its overall operating performance are reflected on an annual basis. Compared with the daily disclosure of fund information, the information disclosed in the annual report of the fund is more comprehensive and comprehensive. Therefore, how to analyze the annual reports of the fund companies and tap the potential investment value becomes Investors are particularly concerned about the issue. The fund company’s annual report is usually released in March and April each year. Annual reports include manager reports, financial reports and portfolio reports and other important information. base