Name |
Bosera Sector Rotation Fund
|
Abbreviation |
Sector Rotation Fund
|
Fund Code |
050018
|
Effective Date of the Contract
|
December 10.2010 |
Investment Objectives |
Through the in-depth investigation on the key driving forces of each economic cycles and that of each sector’s volatility, the Fund intends to capture the different patterns of fluctuations and rotation for those cyclical and non-cyclical stocks, and to provide steady returns to its unit-holders.
|
Benchmark |
80% x CSI 300 Index + 20% x China Bond Composite Index |
Custodian |
China Construction Bank
|
Risk-return Characteristics |
The Fund is an equity fund. The risk and expected return for the Fund would be higher than those of a money market fund, a bond fund and a balanced fund. It is categorized as a high risk/ return investment instrument to unit-holders. |