Core Viewpoint - The report provides an overview of the performance and management of the Southern Shenzhen Component Exchange-Traded Fund (ETF) linked fund for the second quarter of 2025, highlighting its investment strategy, financial indicators, and net asset value performance. Fund Product Overview - The fund is a passive index fund that aims to closely track the Shenzhen Component Index by investing at least 90% of its net asset value in the Shenzhen Component ETF [2][5]. - The fund's investment strategy includes not participating in the management of the underlying ETF and aims to minimize tracking deviation and error [2][5]. Financial Indicators and Fund Performance - As of the end of the reporting period (June 30, 2025), the total fund shares amounted to 202,967,196.99 [2]. - The net asset value (NAV) for the A share was 0.9706 yuan, with a net value growth rate of 0.46%, while the C share had an NAV of 0.9402 yuan and a growth rate of 0.35% [13]. - The performance benchmark for the fund showed a growth rate of -0.32% during the same period [13]. Investment Strategy - The fund employs a complete replication method to track the performance of the underlying index, adjusting its portfolio based on changes in the index's constituent stocks and their weights [5][6]. - The fund's management has implemented various systems to control tracking error and ensure safe operations, including an "index trading system" and "intraday timing trading model" [11][12]. Investment Portfolio Report - The fund's total assets included 1,859,059.25 yuan in stocks and 1,205,488.89 yuan in bonds, with the stock allocation representing 0.93% of total assets [15]. - The fund's investments were diversified across various sectors, with manufacturing being the largest sector represented [15]. Fund Share Changes - The total shares of the A share decreased from 160,166,197.95 to 156,610,601.50 during the reporting period, while the C share decreased from 49,651,952.12 to 46,356,595.49 [18].
南方深证成份ETF联接A,南方深证成份ETF联接C: 南方深证成份交易型开放式指数证券投资基金联接基金2025年第2季度报告