

Core Viewpoint - The report outlines the performance and investment strategy of the Yongying Shanghai Stock Exchange Science and Technology Innovation Board 100 Index Enhanced Fund for the second quarter of 2025, highlighting its focus on achieving returns that exceed the benchmark while managing risks effectively [1][4]. Fund Overview - Fund Name: Yongying Shanghai Stock Exchange Science and Technology Innovation Board 100 Index Enhanced Fund - Fund Manager: Yongying Fund Management Co., Ltd. - Fund Custodian: China Merchants Bank Co., Ltd. - Total Fund Shares at Period End: 25,789,800.27 shares [1][2]. Performance Metrics - Net Asset Value Growth Rate for Class A: 2.12% with a benchmark return of 2.53% - Net Asset Value Growth Rate for Class C: 2.02% with a benchmark return of 2.53% - Performance over the past three months: Class A 2.12%, Class C 2.02%, with respective benchmark returns of 2.53% [5][6]. Investment Strategy - The fund employs an index-enhanced strategy, focusing on stock selection based on fundamental analysis, particularly targeting companies with good growth potential. - The fund aims to maintain an average tracking deviation of no more than 0.5% and an annualized tracking error of no more than 8% [1][4]. Asset Allocation - Total Assets: 30,670,925.18 CNY - Equity Investments: 90.93% of total assets - Bond Investments: 2.70% of total assets - Major sectors include Manufacturing (80.06%) and Information Technology Services (13.51%) [5][6]. Management and Compliance - The fund management adheres to strict compliance with investment regulations and maintains a disciplined investment process to ensure fair treatment of all investment portfolios. - No significant violations of fair trading practices were reported during the period [3][4]. Fund Share Changes - Class A Fund Shares at Period Start: 12,402,699.80 - Class C Fund Shares at Period Start: 8,738,539.10 - Total Subscription for Class A: 1,852,450.65, Total Redemption: 1,059,975.64 - Total Subscription for Class C: 12,009,021.05, Total Redemption: 8,152,934.69 [6][7]. Key Personnel - Fund Managers: Zhang Lu and Qian Houxiang, both with 10 years of experience in the securities industry [2][4].