| SSE Exchange | China Country |
The E Fund Star Market 2-Year Regular Open Mixed Fund represents a strategic financial vehicle that combines the growth potential of equity investments with the stability of fixed-income securities, specifically tailored to the dynamic and evolving Chinese market. By focusing on companies listed on China’s Star Market, which emphasizes innovative high-tech and emerging sectors, the fund is uniquely positioned to benefit from the rapid advancement of technology, electronics, and healthcare industries in China. With its balanced approach, the fund aims to offer investors not only growth opportunities in high-growth sectors but also risk mitigation through stable income generation from its fixed-income portion. The two-year regular open cycle of the fund, allowing for periodic subscriptions and redemptions, is designed to maximize investment strategy efficiency over a set period. This approach underlines the fund's pivotal role in the financial domain, where it aids emerging companies via capital allocation while providing investors with a diversified investment product in China’s fast-paced innovation economy.
The fund primarily invests in equity securities of companies listed on the Star Market, focusing on sectors such as technology, electronics, and healthcare. These investments aim to capture the high growth potential associated with China’s innovative and emerging sectors, offering investors the opportunity to participate in the economic benefits of these dynamic industries.
Alongside its equity investments, the fund also allocates a portion of its portfolio to fixed-income securities. This strategy is aimed at providing a stable source of regular income, thereby mitigating the overall risk of the investment. By balancing high-growth equity investments with stable fixed-income securities, the fund seeks to offer a comprehensive investment solution that caters to the needs of risk-averse investors looking for a balanced exposure to the Chinese market.
The fund operates on a two-year regular open cycle, which facilitates periodic subscriptions and redemptions. This feature is designed to optimize the fund’s investment strategy over the specified duration, allowing for tactical adjustments based on market conditions and investment opportunities. It provides flexibility for the fund management to dynamically adjust asset allocations and for investors to enter or exit the fund at predetermined intervals, aligning with their investment goals and market outlook.