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中证周期稳健成长50指数下跌0.84%,前十大权重包含中国石油等
Sou Hu Cai Jing· 2025-08-01 13:44
Core Viewpoint - The China Securities Index for cyclical steady growth has shown a mixed performance, with a recent decline in the index while maintaining a positive trend over the past month and three months [1][2]. Group 1: Index Performance - The Shanghai Composite Index decreased by 0.37%, while the China Securities Index for cyclical steady growth 50 fell by 0.84%, closing at 1652.84 points with a trading volume of 17.107 billion yuan [1]. - Over the past month, the cyclical steady growth 50 index has increased by 3.62%, and over the last three months, it has risen by 7.90%. However, year-to-date, it has declined by 1.53% [1]. Group 2: Index Composition - The cyclical steady growth 50 index comprises 50 companies selected based on low price-to-book ratios, high revenue growth, and high return on equity (ROE) [1]. - The top ten weighted companies in the index include China State Construction (9.6%), China Petroleum (9.45%), and COSCO Shipping Holdings (9.33%) among others [1]. - The index is primarily composed of companies listed on the Shanghai Stock Exchange, which accounts for 76.10% of the index, while the Shenzhen Stock Exchange represents 23.90% [1]. Group 3: Sector Allocation - The sector allocation of the cyclical steady growth 50 index shows that materials account for 40.39%, industrials for 29.59%, and energy for 28.80%, with real estate making up only 1.22% [2]. - The index samples are adjusted biannually, with changes implemented on the next trading day following the second Friday of June and December [2].
8月1日汇添富沪深300安中指数A净值下跌0.78%,今年来累计上涨3.61%
Sou Hu Cai Jing· 2025-08-01 12:36
Group 1 - The core point of the article highlights the performance and holdings of the Huatai-PineBridge CSI 300 Anzhong Index A fund, which has a recent net value of 1.9429 yuan and a decline of 0.78% [1] - The fund's one-month return is 4.19%, ranking 724 out of 1620 in its category, while the three-month return is 8.95%, ranking 883 out of 1541 [1] - Year-to-date, the fund has achieved a return of 3.61%, with a ranking of 1108 out of 1423 in its category [1] Group 2 - The top ten stock holdings of the fund account for a total of 22.91%, with significant positions in companies such as China Shenhua (3.43%), China Yangtze Power (3.09%), and Kweichow Moutai (2.90%) [1] - As of June 30, 2025, the fund has a total size of 1.375 billion yuan, and the fund manager is Wu Zhenxiang [1] Group 3 - Wu Zhenxiang has a strong academic background with a PhD in management from the University of Science and Technology of China and a postdoctoral degree in applied mathematics from the Chinese Academy of Sciences [2] - He has extensive experience in fund management, having held various positions at Huatai-PineBridge since March 2008, including senior manager and quantitative investment analyst [2]
33家获评A级 2025年央企采购与供应链管理对标评估结果出炉





Xin Lang Cai Jing· 2025-08-01 11:58
Core Viewpoint - The State-owned Assets Supervision and Administration Commission (SASAC) has completed the benchmarking assessment for procurement and supply chain management of central enterprises for 2025, identifying 33 A-level enterprises, including major companies in the energy and telecommunications sectors [1] Group 1 - The assessment was organized by SASAC to evaluate the procurement and supply chain management practices of central enterprises [1] - A total of 33 enterprises were classified as A-level, indicating high performance in procurement and supply chain management [1] - Notable A-level enterprises include State Grid, China Southern Power Grid, China Mobile, Sinopec, China Unicom, China Telecom, China Huaneng, CRRC, China National Petroleum Corporation, and State Energy Group [1]
中国石油收盘下跌4.06%,滚动市盈率9.40倍,总市值15575.09亿元
Sou Hu Cai Jing· 2025-08-01 11:06
8月1日,中国石油今日收盘8.51元,下跌4.06%,滚动市盈率PE(当前股价与前四季度每股收益总和的 比值)达到9.40倍,总市值15575.09亿元。 中国石油天然气股份有限公司的主营业务是原油及天然气的勘探、开发、生产、输送和销售及新能源业 务;原油及石油产品的炼制,基本及衍生化工产品、其他化工产品的生产和销售及新材料业务;炼油产 品和非油品的销售以及贸易业务;天然气的输送及销售业务。公司的主要产品是油气、新能源、炼油化 工和新材料、天然气。 最新一期业绩显示,2025年一季报,公司实现营业收入7531.08亿元,同比-7.34%;净利润468.07亿元, 同比2.30%,销售毛利率21.09%。 序号股票简称PE(TTM)PE(静)市净率总市值(元)2中国石油9.409.461.0015575.09亿行业平均 12.7711.481.201822.90亿行业中值30.5334.601.6461.42亿1中国海油9.158.941.5712329.27亿3广汇能源 12.1711.701.25346.45亿4*ST新潮13.5813.431.19273.38亿5中国石化15.2413.710.83689 ...
中国石油集团董事长戴厚良会见塞内加尔能源、石油和矿产部长
news flash· 2025-08-01 10:48
7月31日,中国石油(601857)集团董事长戴厚良会见塞内加尔能源、石油和矿产部长迪奥普。双方就 能源领域合作交换意见。塞内加尔驻华大使锡拉,中国石油集团副总经理黄永章以及总经理助理、管理 层成员等参加会见。(中国石油报) ...
中证香港300价值指数报3163.64点,前十大权重包含汇丰控股等
Jin Rong Jie· 2025-08-01 09:00
资料显示,指数样本每半年调整一次,样本调整实施时间分别为每年6月和12月的第二个星期五的下一 交易日。中证香港300价值指数和中证香港300成长指数每次调整的样本比例一般不超过20%。定期调整 设置缓冲区,Z值在对应指数的样本空间中,排名在80名之前的新样本优先进入;排名120名之前的老 样本优先保留。权重因子随样本定期调整而调整,调整时间与指数样本定期调整实施时间相同。在下一 个定期调整日前,权重因子一般固定不变。遇临时调整时,当中证香港300指数调整样本时,指数样本 随之进行相应调整。当样本退市时,将其从指数样本中剔除。样本公司发生收购、合并、分拆等情形的 处理,参照计算与维护细则处理。 从指数持仓来看,中证香港300价值指数十大权重分别为:建设银行(10.13%)、汇丰控股 (9.59%)、中国移动(7.31%)、工商银行(7.17%)、中国平安(5.52%)、中国银行(5.21%)、中 国海洋石油(4.63%)、招商银行(3.22%)、中国人寿(2.32%)、中国石油股份(2.22%)。 从中证香港300价值指数持仓的市场板块来看,香港证券交易所占比100.00%。 从中证香港300价值指数持仓样本的 ...
港股收盘 | 恒指收跌1.07% 稳定币概念大幅回落 英诺赛科大涨30%
Zhi Tong Cai Jing· 2025-08-01 08:55
港股8月开局不利,三大指数继续承压走低,尾盘跌幅有所扩大。截止收盘,恒生指数跌1.07%或265.52 点,报24507.81点,大市交投缩减,全日成交额为2546.74亿港元;恒生国企指数跌0.88%,报8804.42 点;恒生科技指数跌1.02%,报5397.4点。全周来看,恒指累跌3.47%,国指累跌3.78%,恒科指累跌 4.94%。 东吴证券指出,往后看,市场担心海外风险上行。一是,美元资产继续上涨,或会导致全球资金减少对 中国资产的关注;二是,对等关税截止日临近,市场预期关税博弈更偏向税率"缓"+"降"。交银国际认 为,港股市场当前流动性状态仍较为充裕,估值水平保持合理,适度的市场拥挤度也为投资者提供了较 为理想的配置窗口。 蓝筹股表现 5.71港元。 1.个别快递股逆市走高。截至收盘,中通快递-W(02057)涨7.44%,报163.2港元;极兔速递-W(01519)涨 2.52%,报10.58港元。 7月29日,国家邮政局召开快递企业座谈会,就依法依规治理行业"内卷式"竞争,强化农村地区领取快 件违规收费等突出问题整治,促进行业高质量发展进行座谈交流。据现代物流报,7月17日义乌邮管局 已率先 ...
中证香港300上游指数报2749.08点,前十大权重包含中国石油股份等
Jin Rong Jie· 2025-08-01 08:45
Group 1 - The core viewpoint of the news is that the China Hong Kong 300 upstream index has shown significant growth over the past month, three months, and year-to-date, indicating a positive trend in the market [1][2] - The China Hong Kong 300 upstream index has increased by 8.11% in the last month, 21.15% in the last three months, and 16.69% year-to-date [1] - The index is composed of securities selected based on the China Securities Industry Classification, reflecting the overall performance of various thematic securities listed on the Hong Kong Stock Exchange [1][2] Group 2 - The top ten holdings of the China Hong Kong 300 upstream index include China National Offshore Oil Corporation (28.21%), PetroChina Company Limited (13.54%), Zijin Mining Group (10.5%), and China Shenhua Energy Company (9.62%) [1] - The index's holdings are entirely composed of securities listed on the Hong Kong Stock Exchange, with the oil and gas sector representing 51.36% of the index [2] - The index undergoes adjustments every six months, with the next adjustment scheduled for the second Friday of June and December, and can also be adjusted under special circumstances [2]
石油行业1日主力净流出4.18亿元,中国石化、中国石油居前
Sou Hu Cai Jing· 2025-08-01 08:14
Core Insights - The oil industry experienced a decline of 0.27% on August 1, with a net outflow of 418 million yuan in principal funds [1] - Among the constituent stocks, 10 increased in value while 8 decreased [1] Fund Flow Analysis - The companies with the highest net outflow of principal funds were Sinopec (205 million yuan), PetroChina (141 million yuan), Guanghui Energy (52.85 million yuan), *ST Xinchao (47.82 million yuan), and Guangju Energy (12.24 million yuan) [1] - Notable net inflows were observed in Donghua Energy (23.41 million yuan), CNOOC (17.62 million yuan), and Shanghai Petrochemical (0.59 million yuan) [1] Stock Performance - Donghua Energy's latest price was 10.29 with a slight increase of 0.29% [1] - CNOOC's stock price was 25.94, reflecting a decrease of 0.84% [1] - Shanghai Petrochemical's stock price was 2.85, down by 0.71% [1] - Other companies like Bohai Steel and Huajin also showed minor fluctuations in their stock prices [1]
港股午评:恒指跌0.18%,纸业股、光伏股拉升,石油股下挫!美团阿里涨2%,京东涨1%,中国石油化工跌近5%,中国石油跌超2%
Ge Long Hui· 2025-08-01 05:24
另一方面,石油股跌幅明显,预计上半年净利同比下降39.5%-43.7%,中国石油(601857)化工跌近5%, 中国石油跌超2%,中资券商股、香港本地消费股、婴童概念股、煤炭股、教育股、保险股、汽车股多 数表现低迷。(格隆汇) | 名称 | | 最新价 | 涨跌幅 | | --- | --- | --- | --- | | 恒生指数 | Virth | 24727.78 | -0.18% | | 800000 | | | | | 国企指数 800100 | VIARA | 8882.04 | -0.01% | | 恒生科技指数 | MAR | 5446.61 | -0.12% | | 800700 | | | | | 红筹指数 800151 | | 4237.39 | -0.29% | | 南方恒生科技 | mon | 5.350 | -0.09% | | 03033 | | | | 格隆汇8月1日|港股上午盘三大指数呈现小幅震荡行情,较近日连续回调似有止跌之势。截止午盘,恒 生指数跌0.18%,国企指数微跌0.01%,恒生科技指数跌0.12%。 | 代码 | 名称 | | 最新价 | 涨跌幅 ^ | | - ...