Through in-depth research and analysis of investment objects, markets, industries, etc., identify possible risks.
The identified risks are quantified and qualitatively evaluated to determine the size, probability and possible impact of the risks.
Regular risk assessment and monitoring of the portfolio, timely detection and resolution of potential risks.
By formulating investment strategies, setting stop-loss points, diversifying investment, etc., the risk is controlled within an affordable range.
Regularly report the risk status and risk management measures of the portfolio to investors to improve investors ' risk awareness.
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Wangjing SOHO Center, Chaoyang District, Beijing
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