Name |
Bosera Inflation Protection Fund
|
Abbreviation |
Inflation Protection Fund
|
Fund Code |
050020
|
Effective Date of the Contract
|
April 25.2011 |
Investment Objectives |
Through global asset allocation, the Fund invests in different asset types related to inflation (deflation). On the premise of stringent risk control, the Fund strives to provide inflation (deflation) protection for the Fund assets, and to obtain relatively high excess returns.
|
Benchmark |
also known as “Comprehensive Indicator of Inflation”.
S&P GSCI Precious Metal Total Return Index × 20% + S&P GSCI Agricultural Total Return Index × 30% + S&P GSCI Energy Total Return Index × 20% + Barclays Capital U.S. Treasury Inflation Protected Securities (TIPS) Index (Series-L) × 30%, which is also known as “Comprehensive Indicator of Inflation”. |
Custodian |
Bank of China
|
Risk-return Characteristics |
The Fund is categorized as a mid-high risk/ return product. |