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BOCI创业板ETF: 中银证券创业板交易型开放式指数证券投资基金2025年第2季度报告
Zheng Quan Zhi Xing·2025-07-18 09:17

Core Viewpoint - The report provides an overview of the BOCI ChiNext ETF's performance and management strategies during the second quarter of 2025, highlighting its investment objectives, strategies, and financial metrics. Fund Product Overview - Fund Name: BOCI ChiNext ETF - Fund Code: 159821 - Total Fund Shares at Period End: 28,220,000 shares - Investment Objective: Aim to closely track the performance of the benchmark index with a daily tracking deviation absolute value controlled within 0.2% and an annualized tracking error within 2% [2][7]. - Investment Strategy: Utilizes a full replication strategy, alternative strategies, stock index futures, bond investments, and asset-backed securities to achieve stable long-term returns [2][7]. - Performance Benchmark: ChiNext Index return rate [2]. Financial Metrics and Fund Performance - Net Asset Value at Period End: 0.8094 RMB per share - Fund Net Value Growth Rate: 3.20% - Benchmark Performance Rate: 2.34% - Significant Contributions to Index Growth: Telecommunications, Electronics, and National Defense Industries; Negative Contributions: Media, Computer, and Machinery Industries [6][7]. Management Report - The fund manager adheres to legal regulations and fund contracts, ensuring fair treatment of different investment portfolios and protecting investor rights [5][6]. - No abnormal trading or conflicts of interest were reported during the period [6]. - The fund's investment strategy remains focused on index-based investments, with a commitment to minimizing tracking errors [7]. Asset Composition - Total Assets: 22,656,022.18 RMB - Stock Investments: 99.17% of total assets - Bond Investments: 0.01% of total assets [9][10]. Share Changes - Initial Fund Shares: 34,720,000 shares - Total Shares Redeemed During Period: 6,500,000 shares - Final Fund Shares: 28,220,000 shares [12].