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基金经理变动和高管更替本是行业常事,但近期随着“老鼠仓”监管风暴的升级,基金经理变动的行业负面影响有被片面夸大的趋势,市场上对今年以来的基金经理变动的评论也显失客观,这让投资者多少有点无所适从。事实上,此次涉及“老鼠仓”的较敏感的几个公司确实带来了团队的较大变动,给基金投资带来了风险,投资者需要理性回避。但是对于正常基金经理变更,基金投资者仍需客观看待,理性选择,以保证组合风险最小化。资深经理离任需谨慎
Fund manager changes and executive turnover is the industry commonplace, but recently with the “mouse store ” escalating regulatory turmoil, the negative impact of changes in the industry manager has been one-sided exaggerated trend, the market for this year’s fund manager changes The comments also show the loss of objective, which makes investors somewhat a bit at a loss. In fact, several of the more sensitive companies involved in the “rat warehouse” did bring big changes to the team, posing a risk to the fund’s investment and investors need to be rationally avoided. However, for the change of normal fund manager, fund investors still need to view objectively and rationally to ensure the portfolio risk is minimized. Senior managers leave cautious