| XSHE Exchange | China Country |
Penghua CSI All Shares Index Class A is an open-ended mutual fund managed by Penghua Fund Management Co., Ltd., a prominent asset management company based in China. The fund's strategic objective is to mirror the performance of the CSI All Shares Index, accurately reflecting the entire spectrum of the Chinese A-shares market. By doing so, the fund provides investors with a comprehensive exposure to China's domestic equity market, spanning various sectors such as technology, finance, consumer goods, and healthcare. It is designed to be a key instrument for both institutional and individual investors aiming to diversify their portfolios with investments in the rapidly evolving Chinese economy. Through its alignment with the CSI All Shares Index, the fund offers a unique opportunity to participate in the broad market trends and economic indicators of the Chinese market, positioning itself as an essential component for investors seeking to capitalize on China's growth.
This service enables investors to gain exposure to the entire range of Chinese A-shares, offering a broad overview of the Chinese equity market across multiple industries. By investing in this fund, participants can benefit from the diversified market dynamics, capturing the value across technology, finance, consumer goods, healthcare, and more.
The Penghua CSI All Shares Index Class A fund meticulously follows the performance of the CSI All Shares Index, making it a reliable benchmark for the entire Chinese A-share market. This approach ensures investors are well-positioned to monitor and participate in the overall market movement, allowing them to tap into the potential growth and market trends reflected within the index's comprehensive coverage.
Provided by Penghua Fund Management Co., Ltd., this service aims at offering institutional and individual investors an avenue to diversify their investment portfolios. Given the fund's broad market coverage and alignment with the dynamic Chinese economy, investors can mitigate risks associated with market volatility by distributing investments across a wide array of sectors represented in the CSI All Shares Index.