Workflow
工银添祥一年定开债券: 工银瑞信添祥一年定期开放债券型证券投资基金2025年第2季度报告
Zheng Quan Zhi Xing·2025-07-21 05:18

Group 1 - The fund aims for long-term stable appreciation of assets while strictly controlling risks through reasonable allocation of equity and debt [2][3] - The fund's investment strategy involves dynamic asset allocation based on macroeconomic analysis and market conditions, focusing on high liquidity investments during the open period [2][3] - The fund's performance benchmark is set at 90% of the China Bond Credit Bond Total Wealth Index return and 10% of the CSI 300 Index return [4] Group 2 - As of the end of the reporting period, the total fund shares amounted to 1,536,261,029.89 shares [2][6] - The fund's net value growth rate for the past three months was 1.20%, while the benchmark return was 1.08% [12] - The fund's asset allocation included 88.32% in bonds and 11.12% in asset-backed securities, with no holdings in stocks [13][14] Group 3 - The fund manager has been managing the fund since November 3, 2023, with a focus on fixed income [8] - The fund has maintained compliance with relevant laws and regulations, ensuring fair treatment of all investors [10][11] - The fund's investment decisions are based on a thorough analysis of the financial and operational status of the issuers of the securities held [15]