How about Maoyuan Quantitative Fund?

All right.

1. Strict risk control: Maoyuan Quantitative Fund adopts a scientific risk management model to avoid market fluctuations and investment risks through a multi-factor model and risk control system.

2. High transparency: All processes of Maoyuan Quantitative Fund operation are transparent, including the basis of investment decision, the execution of transactions and the composition of investment portfolio, so that investors can know the operation of the fund in time and make reasonable investment decisions.

3. Accurate portfolio allocation: Maoyuan Quantitative Fund team has professional quantitative investment ability, and can accurately allocate portfolio according to market conditions and investment objectives to maximize asset appreciation.