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50（000688.SH）以及创业板 50（399673.SZ），以捕捉代表中国科技创新发展的优质公司的投资机会。目标是通过持有在估值性价比方面相较指数更优的组合，创造长期相对目标指数的稳健超额收益。（2）基金聚焦投资指数成分股。（3）行业中性策略：基金在行业配置权重方面保持与指数基本一致，将行业偏离度控制在较低水平。基金主要通过在行业内优选个股创造超额收益。（4）“量化+价值投资”：结合价值投资策略构建量化模型选股因子，重点选取能够反应企业核心价值、竞争力的因子。对公司内在价值通过现金流折现模型进行合理的评估，选取具有估值性价比优势的公司进行投资。（5）公司投研团队秉持统一的投资理念，在研究上重点聚焦对公司可持续竞争优势、增长前景和估值的分析。基金经理与研究员均深度参与研究。公司内部建立了完善的研究讨论与分享机制。（二）重要的买入与卖出基于以上投资策略，我们在报告期末对基金组合进行了调整。基金在指数成分股范围内，按照行业中性的原则，在细分行业内选取具有估值性价比优势的公司构建了相对分散的投资组合。（三）“好基金+好买点”的基金投资理念我们认为基金投资要获取较好的投资收益，需要具备“好基金+好买点”两个条件。（1）所谓“好基金”，指的是具有明确、具体、可行的投资策略，并通过重要的交易执行和一定时间长度的投资业绩验证了其相关投资策略的基金。我们努力将本基金打造成这样的基金。（2）所谓“好买点”指的是基金投资的时点选择也非常重要。在市场估值较低时买入基金，获得好的投资收益的概率更高。本基金主要投资科创50和创业板50指数范围内的优质公司，虽然短期静态估值偏高，但从未来产业发展的角度看，人工智能未来有望成为人类的第四次“工业革命”，国内厂商持续探索 AI 应用场景，整体落地加速。我们对中国人工智能领域未来的发展充满信心，当前是配置此类资产的良好时机。","declarationDate":"2025-07-20T16:00:00.000Z","lastUpdated":"2026-03-09T13:43:41.743Z","mo":"基于以下三个因素，我们长期看好中国长期经济发展。（1）中国是拥有14亿人口构成的全球最大市场。持续增长的中产阶层将会带来庞大的消费需求，庞大的内需市场使得企业能够实现规模经济；（2）具备全面的人才储备与教育体系，每年毕业的理工科人才超 500 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