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保诚(02378) - 翌日披露报表

2025-07-23 09:44
公司名稱: Prudential plc 保誠有限公司* (* 僅供識別) 呈交日期: 2025年7月23日 如上市發行人的已發行股份或庫存股份出現變動而須根據《香港聯合交易所有限公司(「香港聯交所」)證券上市規則》(「《主板上市規則》」)第13.25A條 / 《香港聯合交易所有限公司GEM證券 上市規則》(「《GEM上市規則》」)第17.27A條作出披露,必須填妥第一章節 。 FF305 翌日披露報表 (股份發行人 ── 已發行股份或庫存股份變動、股份購回及/或在場内出售庫存股份) 表格類別: 股票 狀態: 新提交 | 第一章節 | | | | | | | | | | --- | --- | --- | --- | --- | --- | --- | --- | --- | | 1. 股份分類 | 普通股 | 股份類別 | 不適用 | | 於香港聯交所上市 | 是 | | | | 證券代號 (如上市) | 02378 | 說明 | 普通股每股0.05英鎊 | | | | | | | A. 已發行股份或庫存股份變動 | | | | | | | | | | 事件 | | | 已發行股份(不包括庫存股份)變動 | ...
保诚(02378) - 翌日披露报表

2025-07-22 11:35
FF305 翌日披露報表 (股份發行人 ── 已發行股份或庫存股份變動、股份購回及/或在場内出售庫存股份) 表格類別: 股票 狀態: 新提交 公司名稱: Prudential plc 保誠有限公司* (* 僅供識別) 呈交日期: 2025年7月22日 如上市發行人的已發行股份或庫存股份出現變動而須根據《香港聯合交易所有限公司(「香港聯交所」)證券上市規則》(「《主板上市規則》」)第13.25A條 / 《香港聯合交易所有限公司GEM證券 上市規則》(「《GEM上市規則》」)第17.27A條作出披露,必須填妥第一章節 。 | 第一章節 | | | | | | | | | --- | --- | --- | --- | --- | --- | --- | --- | | 1. 股份分類 | 普通股 | 股份類別 | 不適用 | 於香港聯交所上市 | 是 | | | | 證券代號 (如上市) | 02378 | 說明 | 普通股每股0.05英鎊 | | | | | | A. 已發行股份或庫存股份變動 | | | | | | | | | | | | 已發行股份(不包括庫存股份)變動 | 庫存股份變動 | | | | | ...
保诚(02378) - 翌日披露报表

2025-07-21 09:29
表格類別: 股票 狀態: 新提交 公司名稱: Prudential plc 保誠有限公司* (* 僅供識別) 呈交日期: 2025年7月21日 如上市發行人的已發行股份或庫存股份出現變動而須根據《香港聯合交易所有限公司(「香港聯交所」)證券上市規則》(「《主板上市規則》」)第13.25A條 / 《香港聯合交易所有限公司GEM證券 上市規則》(「《GEM上市規則》」)第17.27A條作出披露,必須填妥第一章節 。 | 第一章節 | | | | | | | | | | | --- | --- | --- | --- | --- | --- | --- | --- | --- | --- | | 1. 股份分類 | 普通股 | 股份類別 | 不適用 | | 於香港聯交所上市 | | 是 | | | | 證券代號 (如上市) | 02378 | 說明 | 普通股每股0.05英鎊 | | | | | | | | A. 已發行股份或庫存股份變動 | | | | | | | | | | | 事件 | | | 已發行股份(不包括庫存股份)變動 | | 庫存股份變動 | | 每股發行/出售價 (註4) | | 已發行股份總數 ...
中信保诚基金旗下中信保诚货币B二季度末规模125.22亿元,环比增加8.35%
Sou Hu Cai Jing· 2025-07-18 09:12
Group 1 - The core point of the article highlights that as of June 30, 2025, the net asset of CITIC Prudential Fund's CITIC Prudential Money Market Fund B (550011) reached 12.522 billion yuan, reflecting an increase of 8.35% compared to the previous period [1] - The fund manager, Xi Xingyi, has a background in business administration and has held various positions within CITIC Prudential Fund Management Company since November 2009, including roles as a fund accounting manager and fixed income researcher [2] - Recent changes in fund share scale indicate that the total share at the end of the period was 0.02 billion, with a net asset change rate of -24.80% as of June 30, 2025 [3] Group 2 - The fund's performance metrics show a 3-month yield of 0.39%, a 1-year yield of 1.74%, and a cumulative yield since inception of 54.67% [3] - CITIC Prudential Fund Management Company was established in September 2005, located in Shanghai, with a registered capital of 200 million yuan [3]
中信保诚新机遇混合(LOF):2025年第二季度利润200.42万元 净值增长率3.19%
Sou Hu Cai Jing· 2025-07-18 09:05
Core Viewpoint - The AI Fund CITIC Prudential New Opportunities Mixed (LOF) reported a profit of 2.0042 million yuan for Q2 2025, with a weighted average profit per fund share of 0.0386 yuan. The fund's net asset value growth rate was 3.19%, and the fund size reached 64.9457 million yuan by the end of Q2 2025 [3][14]. Fund Performance - As of July 17, the fund's unit net value was 1.27 yuan. The fund manager expressed a positive outlook on China's economic development and increased the weight of leading companies in the portfolio while selectively choosing stocks. The macroeconomic environment and corporate earnings are expected to exceed market expectations, presenting good opportunities for large-cap value stocks [3]. - The fund's performance over different periods includes a 3-month net value growth rate of 3.52%, ranking 570 out of 615 comparable funds; a 6-month growth rate of 4.64%, ranking 494 out of 615; a 1-year growth rate of 3.58%, ranking 539 out of 584; and a 3-year growth rate of -16.98%, ranking 187 out of 324 [3]. Risk Metrics - The fund's Sharpe ratio over the past three years was -0.3723, ranking 273 out of 319 comparable funds [7]. - The maximum drawdown over the past three years was 32.6%, with a quarterly maximum drawdown of 21.14% occurring in Q3 2023 [9]. Investment Strategy - The average stock position over the past three years was 71.16%, compared to the industry average of 83.13%. The fund reached a maximum position of 91.48% at the end of H1 2025 and a minimum of 5.49% at the end of Q1 2024 [12]. - The fund has a high concentration of holdings, with the top ten positions including Agricultural Bank of China, Industrial and Commercial Bank of China, China Mobile, and others [17].
保诚:以约303万英镑回购约33万股
news flash· 2025-07-18 08:51
智通财经7月18日电,保诚(02378.HK)在港交所发布公告称,7月17日在伦交所回购股份约33万股,每股 回购价9.12至9.24英镑,总价款约为302.6万英镑。 保诚:以约303万英镑回购约33万股 ...
中信保诚红利精选A:2025年第二季度利润32.91万元 净值增长率1.57%
Sou Hu Cai Jing· 2025-07-18 08:38
Core Viewpoint - The AI Fund, CITIC Prudential Dividend Select A (008091), reported a profit of 329,100 yuan for Q2 2025, with a weighted average profit per fund share of 0.0235 yuan. The fund's net value growth rate was 1.57%, and its total scale reached 22.47 million yuan by the end of Q2 2025 [3][16]. Fund Performance - As of July 17, the fund's unit net value was 1.633 yuan. Over the past year, the fund achieved a cumulative net value growth rate of 10.38%, ranking it highest among its peers, while CITIC Prudential New Blue Chip had the lowest at -0.2% [3]. - The fund's net value growth rates over different periods are as follows: 4.51% over the last three months (ranked 543/615), 4.91% over the last six months (ranked 480/615), and 14.74% over the last three years (ranked 29/324) [4]. Investment Strategy - In Q2 2025, the fund adjusted its holdings towards high-dividend stocks, slightly increasing the concentration of its portfolio. The external environment has become more complex, with increasing trade barriers, but the overall economic operation in China remains stable and improving [3]. Risk and Return Metrics - The fund's Sharpe ratio over the past three years is 0.4308, ranking 17/319 among comparable funds. The maximum drawdown over the same period was 14.64%, with the largest single-quarter drawdown occurring in Q1 2022 at 14.53% [10][12]. Portfolio Composition - The average stock position of the fund over the past three years was 88.66%, compared to the industry average of 83.13%. The fund reached a peak stock position of 92.3% in mid-2021 and a low of 70.57% in Q1 2020 [15]. - As of Q2 2025, the top ten holdings of the fund included Midea Group, Yangtze Power, Bank of Communications, Hangzhou Bank, Industrial and Commercial Bank of China, Jiangsu Bank, China Merchants Bank, Gree Electric Appliances, Daqin Railway, and Industrial Bank [19].
保诚(02378) - 翌日披露报表

2025-07-18 08:36
FF305 翌日披露報表 (股份發行人 ── 已發行股份或庫存股份變動、股份購回及/或在場内出售庫存股份) 表格類別: 股票 狀態: 新提交 公司名稱: Prudential plc 保誠有限公司* (* 僅供識別) 呈交日期: 2025年7月18日 如上市發行人的已發行股份或庫存股份出現變動而須根據《香港聯合交易所有限公司(「香港聯交所」)證券上市規則》(「《主板上市規則》」)第13.25A條 / 《香港聯合交易所有限公司GEM證券 上市規則》(「《GEM上市規則》」)第17.27A條作出披露,必須填妥第一章節 。 | 第一章節 | | | | | | | | | | --- | --- | --- | --- | --- | --- | --- | --- | --- | | 1. 股份分類 | 普通股 | 股份類別 | 不適用 | 於香港聯交所上市 | | 是 | | | | 證券代號 (如上市) | 02378 | 說明 | 普通股每股0.05英鎊 | | | | | | | A. 已發行股份或庫存股份變動 | | | | | | | | | | | | | 已發行股份(不包括庫存股份)變動 | 庫存 ...
中信保诚国企红利量化股票A:2025年第二季度利润17.31万元 净值增长率2.04%
Sou Hu Cai Jing· 2025-07-18 03:41
Core Viewpoint - The AI Fund, CITIC Prudential State-Owned Enterprise Dividend Quantitative Stock A, reported a profit of 173,100 yuan for Q2 2025, with a net asset value growth rate of 2.04% during the period [3][15]. Fund Performance - As of July 17, the fund's unit net value was 1.104 yuan, with a one-year cumulative net value growth rate of 10.97%, ranking 84th out of 110 comparable funds [3][4]. - The fund's performance over the last three months showed a growth rate of 4.50%, ranking 96th out of 110, and over the last six months, it was 5.35%, ranking 85th out of 110 [4]. Investment Strategy - The fund maintained a high stock position during the reporting period, focusing on investment opportunities in high-dividend state-owned enterprises and employing a quantitative strategy to achieve long-term returns exceeding the performance benchmark [3]. Risk Metrics - The fund's Sharpe ratio since inception is 0.6483, indicating a moderate risk-adjusted return [8]. - The maximum drawdown since inception is 12.44%, with the largest quarterly drawdown occurring in Q2 2025 at 6.09% [11]. Fund Composition - As of Q2 2025, the fund's total assets amounted to 16.2144 million yuan [15]. - The top ten holdings include major companies such as Bank of Communications, Lu'an Environmental Energy, and Xiamen International Trade [18]. Stock Positioning - The average stock position since inception is 88.09%, closely aligned with the industry average of 88.05% [14]. The highest stock position reached 89.64% at the end of 2024, while the lowest was 83.8% at the end of Q3 2024 [14].
保诚(02378) - 翌日披露报表

2025-07-17 09:36
FF305 翌日披露報表 (股份發行人 ── 已發行股份或庫存股份變動、股份購回及/或在場内出售庫存股份) 表格類別: 股票 狀態: 新提交 FF305 公司名稱: Prudential plc 保誠有限公司* (* 僅供識別) 呈交日期: 2025年7月17日 如上市發行人的已發行股份或庫存股份出現變動而須根據《香港聯合交易所有限公司(「香港聯交所」)證券上市規則》(「《主板上市規則》」)第13.25A條 / 《香港聯合交易所有限公司GEM證券 上市規則》(「《GEM上市規則》」)第17.27A條作出披露,必須填妥第一章節 。 | 第一章節 | | | | | | | | | | --- | --- | --- | --- | --- | --- | --- | --- | --- | | 1. 股份分類 | 普通股 | 股份類別 | 不適用 | | 於香港聯交所上市 | 是 | | | | 證券代號 (如上市) | 02378 | 說明 | | 普通股每股0.05英鎊 | | | | | | A. 已發行股份或庫存股份變動 | | | | | | | | | | | | | 已發行股份(不包括庫存股份)變 ...