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通过量化方法进行积极的投资组合管理与风险控制,力争在控制该基金净值增长率与业绩比较基准之间的年跟踪误差不超过7.75%的基础上,追求获得超越标的指数的回报。
名称 | 标题 | 任期 | 至 |
---|---|---|---|
Yingjie Yuan | - | 2021 | now |
背景介紹 | N.A | ||
Yang Song | - | 2016 | now |
背景介紹 | Ph.D. of the Academy of Mathematics and Systems Science, Chinese Academy of Sciences. Once served as a researcher and the investment manager in Harvest Fund Management Co., Ltd.. Joined China Asset Management Co., Ltd. in March 2016 and served as a researcher in the Quantitative Investment Department, the fund manager of Huaxia Xinjintu Flexibly-allocated Hybrid Securities Investment Fund (from March 24, 2017 to September 10, 2018), the fund manager of Huaxia Ruipantaili Six-month Open-ended Hybrid Securities Investment Fund (from April 10, 2018 to February 26, 2019), etc. | ||
Lu WANG | Portfolio Manager | 2015 | 2017 |
背景介紹 | holds Doctor’s degree, served as portfolio manager and person-in-charge of quantitative stock research of Deutsche Asset Management in New York, the U.S., portfolio manager of Societe Generale in New York, the U.S., deputy director of International Business Department of Dacheng Fund, etc. WANG Lu joined China Asset Management Co., Ltd. in November 2008, and acted as deputy head of Quantitative Investment Department, portfolio manager of SSE Materials ETF (from March 28, 2013 to March 28, 2016), etc. | ||
qing zhou | - | 2015 | 2016 |
背景介紹 | holds a master’s degree in applied mathematics, Peking University. In July 2010 Zhou started to work at China AMC. In this company, Zhou served as researcher of quantitative investment department, investment manager, fund manager assistant, etc. |
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