Simla Stock:The market value of the Indian stock market exceeds 4 trillion US dollars. Which fund has a layout?Pay attention to the management of the Manuri Fund and learn more about the hot spot!On Tuesday, the

The market value of the Indian stock market exceeds 4 trillion US dollars. Which fund has a layout?Pay attention to the management of the Manuri Fund and learn more about the hot spot!On Tuesday, the

Source: Snow Ball APP, Author: Management Management, (

Pay attention to the management of the Manuri Fund and learn more about the hot spotSimla Stock!

On Tuesday, the market value of the Indian stock market exceeded 4 trillion US dollars for the first time. This is an important milestone in the world’s fifth largest stock market. In less than three years, the market value of companies listed on the Indian Exchange increaseOne of the best markets for emerging worlds.

India’s major stock indexes have been at a historical high, and this year has increased by more than 13%, which is expected to achieve unprecedented eighth consecutive year.In contrast, the total market value of the Hong Kong stock market fell to less than 4.7 trillion US dollars.

Earlier this year, India replaced India to become the world’s most populous country and became the fastest -growing major economy.According to Bloomberg statistics, foreign investors have purchased more than $ 15 billion in stocks, and domestic funds have surged more than $ 20 billion.Varanasi Investment

AXIS Mutual Fund chief investment officer Ashish Gupta wrote in a report that India is changing from a consumer -oriented economy to a economy led by consumption and investment.This potential strength of the country has made positive and correct reactions. "

How to participate in the Indian market?

Manuri Indian Opportunity Fund (006105) $ Manuri Indian Stock (QDII) (F006105) $ is the only pure Indian stock product in the domestic market from the bottom up and actively managed.Theme enterprise.

Affected by the high volatility of the domestic financial market, investors began to seek the "new continent" for hedging.Especially in the background of the recent A -share shock, it provides supplements for domestic investors’ global allocation and decentralization risks.

#Cight layout, the number of launch funds will be innovative during the year!# # 300 index hit a new low, how to borrow the base low layout #

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Walm India’s opportunity was established on January 30, 2019. The fund performance comparative benchmark: MSCI India Index yield (adjustment through RMB exchange rate)*90%+RMB current deposit interest rate (after tax)*10%, the current fund manager of the Fund is the fund manager of the FundJing (from January 30, 2019).The fund’s performance in 2020, 2021, and 2022 was 2.43%, 12.95%, and -5.53%, respectively, and the performance comparison benchmarks at the same period were 6.62%, 20.06%, and 0.01%, derived from the fund annual report.The investment scope of Huaman India (QDII) includes overseas securities and investors to buy this fund. In addition to the general investment risks such as market fluctuation risks similar to domestic securities investment funds, they are also facing foreign securities market investment in exchange rate risks.Special investment risk.

Risk reveals: Do not constitute investment suggestions or commitments.The above viewpoints, data, and other information are used for reference only. It is not used as a legal document for fund sales. It does not constitute any opinions and does not constitute recommendations for any product transaction.Investors should invest in self -judgment based on their own risk tolerance. If losses cause losses, Teda Manuri Fund Management Co., Ltd. will not bear any responsibility.my country’s funds have a short operation time and cannot reflect all stages of the development of the stock market.Fund managers do not guarantee that the fund is profitable and does not guarantee the minimum return.Fund historical performance does not represent future income. The ranking data of the fund ranking institutions does not constitute the guarantee of fund performance.Investors are requested to carefully read the fund contracts, recruitment instructions and related announcements.Fund investors please confirm that they know and understand the characteristics and related risks of the fund before investing. They have corresponding risk tolerance and invest cautiously.If the products you buy are invested in overseas securities, in addition to the general investment risks such as market fluctuation risks similar to domestic securities investment funds, the Fund also faces special investment risks facing overseas securities markets such as exchange rate risks.Varanasi Stock

Jinnai Wealth Management