Products

Morgan Stanley China Digital Economy Hybrid Securities Investment Fund C

Fund Code 017103
Operation Mode Open-end
Fund Category Hybrid
Inception Date 2023-03-02
Custodian Bank Of China
Benchmark CSI Digital Economy Index*90%+ChinaBond Composite Index Full Price Index (Within 1 year)*5%+ Current Deposit Benchmark Interest Rate*5%
Investment Objective The fund strives to realize long-term stable asset appreciation through investing in high-quality stocks related to digital economy industries.
Portfolio Allocation Stocks: 60%-95%
Digital economy relevant stocks: ≥ 80% non-cash fund assets
Cash, cash equivalents, and other government bonds that will mature in one year: ≥5%
Risk-Return Characteristic Its expected risk and return are lower than equity funds and higher than bond funds and money market funds.
Portfolio Manager Mr. Lei Zhiyong, Master in Computer Software and Theory of Peking University. He used to work as the project manager of China Mobile Communications Corporation headquarters, the intermediate network operation supports supervisor of China Mobile Communications Group Guangdong Co., Ltd., the researcher of communication industry of Dongguan Securities Co., Ltd. and the product manager of Southern Fund Management Co., Ltd. Mr. Lei joined the company in October 2014 and has served as a researcher and assistant fund manager of Research Management Department, Deputy Director of the Equity Investment Department. He is currently the Director of the Equity Investment Department and fund manager.