光大可转债机会基金专注于亚洲的可转换债券策略,旨在通过采用多样化的可转换债券和信用策略投资组合,实现稳健的绝对回报并保持低波动性。
1. Combining top-down and bottom-up approach, staying on macro trends, focusing on security selection and timing to
generate returns. 2. Exercising discipline, our products balance domestic and international investment opportunities, risks and returns and rely on prudent risk management to build investment portfolios.