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Bei Laide admonitionses: of Beng of Tuan of hazel of of Liu of of Wu Jie
From;    Author:Stand originally

Bei Laide, the whole world is the greatest appear on the market asset management company. Up to this year on June 30, the predicting asset total value of Bei Laide management amounts to 1.43 trillion dollar. Bei Laide is round-the-world asset configures fund (BGF Global Allocation Fund) obtain “ of golden getting award is round-the-world 2008 the dollar mixes evenly model fund ” champion of of reinforced material of 5 years of 3 years of award, award, be in continuously 2005, 2006, obtained standard general Er to judge 2007 for AAA highest judge wait for fund. What manage combination to establish by Bank of China and investment of shellfish Lai heart is medium the fund management company that silver-colored fund is system of the first bank of Chinese.

Invest the company delegate with banner fund as the whole world, chief delegate of Beijing of shellfish Lai heart, president Peng Hongti and Beilaide (Hong Kong) when vice-president Ji Bing is accepting special report of newspaper of a week of conduct financial transactions, point out, outback fund industry can draw lessons from the Taiwan, Hong Kong, whole world experience such as the United States, accelerate QDII development further, emphasize Chinese investor needing to build long-term investment idea repeatedly.

Build long-term investment idea

A week of conduct financial transactions signs up for: A lot of China investor do not understand QDII too, how do you suggest?

Peng Hongti: City of big last year ox when, farmer friend asks: Hear you have a thing that makes fund, bought make money, how should be we bought? I ever worked 4 years in Shanghai, Taiwan works 6 years. I understand the habit of Chinese investor. They need to be taught to establish the concept of long-term investment. On June 1, 2005 when I am in Shanghai, in those days A drop 1000 bits brokener, investor is quite panicky. We advocate long-term investment to orgnaization and individual investor. If of one mind wants to be in 3 to make money inside 6 months, have too much not certain factor. The orgnaization listens went in, but the individual did not listen. Rising market risk compares mature market normally tall. Individual investor was buying A after the product, how will disperse risk, bank and fund company should have education to investor.

Undertake foreign investment can diffuse risk. Have 3 kinds of QDII at present, offer by company of bank, fund, insurance respectively. The bank has a main responsibility, have education and introduction to investor namely. Have some of seasoned bank, encounter wave motion the circumstance that big, market glides, explain to the client “ is low actively buy the argument that sells ” high: Stock market trough enters a chance very well however instead. Return some banks to just cooperate the idea of investor, investor does not value the circumstance of some fund to fall, they recommend other product. I had made investigation, when the bank meets the foreign country to fluctuate in the market communicate actively with the client and teach, dismiss scared feeling.
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