The South Balanced Allocation Mixed Securities Investment Fund is an open-end mixed fund managed by South Fund Management Co., Ltd. The risk level of the fund is medium-low risk, and it is suitable for investors with strong risk tolerance. The investment scope of the fund includes stocks, bonds, funds and money market instruments. The stock asset ratio is 0-95%, of which the investment ratio of Hong Kong stock connect stocks is not more than 50% of the stock assets, the bond asset ratio is 0-60%, the fund asset ratio is 0-25%, and the money market asset ratio is 0-20%.