[問題] 基金沒有避險部位嗎??
我相信基金經理人應該收到的資訊會比我們多很多
我相信這些負面資訊 應該經理人有比較敏感
他們都沒有建立避險部位嗎?
都沒有空期貨 做空部位嗎? 就任由基金跟著大盤趴下去
是因為法規有規定避險限制?
還是他們操作上有什麼盲點導致只能作多?
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