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永赢锐见进取混合A,永赢锐见进取混合C: 永赢锐见进取混合型证券投资基金2025年第2季度报告
Zheng Quan Zhi Xing·2025-07-17 02:36

Core Viewpoint - The report outlines the performance and investment strategy of the Yongying Rui Jian Progressive Mixed Securities Investment Fund for the second quarter of 2025, highlighting a focus on long-term asset value appreciation while managing risks through diversified investment strategies [1][3]. Fund Product Overview - Fund Name: Yongying Rui Jian Progressive Mixed - Fund Code: 022717 - Total Fund Shares at Period End: 140,963,027.99 shares - Investment Objective: Long-term stable appreciation of net asset value while controlling investment portfolio risks [2]. - Investment Strategies: Includes macroeconomic analysis, asset allocation, stock investment, fixed income strategies, convertible bonds, and various derivatives [2]. - Performance Benchmark: 70% CSI 800 Index, 10% Hang Seng Index (converted by valuation exchange rate), and 20% China Bond Composite Index [2]. Financial Indicators and Fund Performance - Fund A Net Value Growth Rate (Last Three Months): 13.25%, Benchmark Return: 1.46% [3]. - Fund C Net Value Growth Rate (Last Three Months): 13.08%, Benchmark Return: 1.46% [3]. - Fund A Net Value at Period End: 1.1216 CNY, Fund C Net Value at Period End: 1.1187 CNY [5]. Investment Portfolio Report - Total Value of Stocks: 146,645,935.96 CNY (83.45% of total assets) [6]. - Total Value of Bonds: 6,921,321.95 CNY (3.94% of total assets) [6]. - Value of Hong Kong Stocks via Stock Connect: 42,115,095.09 CNY (26.68% of net value) [7]. Management Report - The fund manager adheres to legal regulations and maintains a disciplined investment research and decision-making process to ensure fair treatment of different investment portfolios [4]. - No significant violations of fair trading practices were reported during the period [4]. Changes in Fund Shares - Fund A Initial Shares: 56,426,195.51, Final Shares: 52,633,871.37 [8]. - Fund C Initial Shares: 231,101,907.25, Final Shares: 88,329,156.62 [8].