张坤基金经理哪里人

2024-04-19 08:11:03 59 0

Zhang Kun, a fund manager, is a master of science. He has served as an industry researcher and assistant fund manager at E Fund Management Co., Ltd. He is currently the fund manager of E Fund Mid and Small Cap Mixed Securities Investment Fund (since September 28, 2012), the founder of E Fund Asia...# All fund managers who entered the temple: Zhang Kun's term of office: September 10, 2021 to present. Zhang Kun, male, Chinese nationality, 14 years of securities industry experience, master of science. He has served as an industry researcher and assistant fund manager at E Fund Management Co., Ltd...# Zhang Kun, Tsinghua University graduate student, majoring in biomedical engineering and medicine, 8 years of investment experience. He joined E Fund in July 2008 and started as a fund manager in September 2012. He became the Vice President of E Fund in June 2020. Representative product "E Fund Mid and Small Cap"...# Zhang Kun first served as a fund manager on September 28, 2012, with 10 years of experience in the industry. Among the nearly 3,200 fund managers, there are 211 people with more than 10 years of experience, accounting for 6.7%. Although the number of years in the industry seems to be shorter compared to veterans like Zhu Shaoxing, who has 17 years of experience, it...# Zhang Kun, born in the 1980s, graduated from Tsinghua University. He has served as an industry researcher and assistant fund manager at E Fund. He started as a fund manager in 2012, and the first fund he managed was E Fund Mid and Small Cap Mixed Fund. As of December 31, 2020, Zhang Kun managed 5 funds with a total...#

1. 张坤的教育背景和职业经历

张坤在清华大学攻读生物医学工程专业,并于2008年毕业。毕业后,他加入了易方达基金管理有限公司,先担任行业研究员和基金经理助理的职位。自2012年起,他开始担任基金经理,负责管理易方达中小盘混合型证券投资基金。在2020年6月,他升任为易方达基金副总经理。

2. 张坤的投资经验和业绩表现

张坤拥有8年的投资经验,在行业中积累了丰富的知识和经验。他管理的基金中,最知名的是易方达中小盘混合型证券投资基金。该基金的业绩表现一直稳定且优秀,在行业内有着较高的声誉。张坤在投资过程中,注重价值投资和长期投资策略,坚持挖掘具备成长潜力的中小盘股票。

3. 张坤的投资逻辑和策略

张坤深受巴菲特的投资理念的启发,信奉价值投资和长期持有的策略。他注重公司的基本面分析,寻找具备成长潜力和估值合理的股票。在选择投资标的时,他会特别关注公司的盈利能力、竞争力、行业前景等因素。他也非常注重风险控制,遵循严格的风险管理规则。

4. 张坤的管理风格和特点

张坤作为一位基金经理,以稳健和谨慎著称。他注重基金的长期稳健增值,而不是追求短期高收益。他在投资决策中非常谨慎,做到详细的研究和全面的分析。他也非常注重团队合作,与研究团队密切合作,共同制定投资策略和决策。

5. 张坤对投资的看法和建议

张坤认为投资是一门科学,需要根据客观的分析和理性的决策来指导。他建议投资者要有长远的投资视角和耐心,不要盲目追求短期的回报。他也认为投资者应该关注公司的基本面和长期发展潜力,而不是过度依赖市场短期的波动。

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