1. Bosera Monetary Fund chooses to invest in bonds and money market instruments with high credit rating on the basis of low risk, and the portfolio risk is low. The investment objective of the Fund is to preserve the value and provide stable income, so under normal circumstances, Bosera Monetary Fund does not have the risk of substantial capital loss.
2. The management team of Bosera Monetary Fund will strictly follow the investment strategy and restrictions of the fund and reduce the investment risk through effective risk control measures. We will pay close attention to market conditions and credit risks, and adjust the investment portfolio in time to ensure the safety and liquidity of the fund.