Name |
Bosera Convertible Bond Enhanced Fund
|
Abbreviation |
Convertible Bond Enhanced Fund
|
Fund Code |
050019(Class A),050119(Class C)
|
Effective Date of the Contract
|
November 24.2010 |
Investment Objectives |
The Fund allocates the assets between fixed-income and equity instruments based on the top-down analysis. In addition, it takes advantage of the characteristic of convertible bonds, which have both equity and debt like features. With the basis of risk control and liquidity maintenance, the Fund adopts asset allocation across different asset classes duly, and strives to outperform the benchmark.
|
Benchmark |
CSI Universal Bond Index |
Custodian |
China Everbright Bank
|
Risk-return Characteristics |
The Fund is a bond fund. Its risk is higher than those of a money market fund but lower than those of a balanced fund and an equity fund. It is categorized as a low-mid return / risk product. |