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随着开放式基金数量的增多,如何选择合适的基金对投资者而言是非常重要的。本文首先利用持仓分析法对基金的实际投资风格进行了研究,得出各个基金的收益风险特性;在计算出各个风险调整收益指标后,采用因子风险法得到一个综合指数,对样本基金进行排序。本文将投资风分析与业绩评价结合在一起,更好地满足了投资者的需求。
With the increase in the number of open-end funds, how to choose the right fund is very important for investors. In this paper, we first use the position analysis method to study the actual investment style of the fund and get the return risk characteristics of each fund. After calculating the risk-adjusted return indicators, a composite index is obtained by factor risk method to rank the sample funds. This article combines the analysis of investment wind and performance evaluation to better meet the needs of investors.