Fund type: Contractual Open-end


Inception date: October 8, 2002


Code: 213001


Custodian: Agriculture Bank of China


Features: bonds investment >=20%, listed shares investment <=75%. Baoying Hongli is classified by Morningstar as an active allocation fund, which aims to provide investors with steady cash dividend and long-term capital appreciation.


Benchmark: S&P CITI Composite Index X 80% +SSE Government Bond Index X 20% (later adjusted to A Share Index X 80%+ Government Bonk Index X 20%)


Potential investors: investors with medium risk tolerance, who expect higher returns than savings account and sustainable growth.

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