Products

Morgan Stanley China Innovation Flexible Allocation Hybrid Securities Investment Fund A

Fund Code 002885
Operation Mode Open-end
Fund Category Hybrid
Inception Date 2017-12-04
Custodian Bank Of China
Benchmark CSI 300 Index ×80% + CSI Universal Bond Index ×20%
Investment Objective The fund adopts an active management investment strategy on the premise of risk control to seek excess return and long-term asset appreciation through asset allocation and stock selection.
Portfolio Allocation Stocks: 0-95%
Innovation 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. Li Ziyang, with a Bachelor's degree in Microelectronics from Peking University, Master's degree in Finance from Shanghai Jiao Tong University, has 8 years of experience in the securities industry. He used to be a research assistant of United Vision Asset Management Co., Ltd. and a researcher of Hotland Innovation Asset Management Co., Ltd. Mr. Li joined the company in July 2020 and served as a researcher and assistant fund manager. Currently, he is a fund manager of Equity Investment Department. He has served as the fund manager of MSCF Technology Flexible Allocation Balanced Fund since March 2025.