Workflow
天弘鑫意39个月定开债: 天弘鑫意39个月定期开放债券型证券投资基金2025年第2季度报告

Core Viewpoint - The report provides an overview of the Tianhong Xinyi 39-Month Regular Open Bond Fund, highlighting its investment strategy, performance metrics, and compliance with regulations [1][2][3]. Fund Overview - Fund Name: Tianhong Xinyi 39-Month Regular Open Bond Fund [3] - Fund Manager: Tianhong Fund Management Co., Ltd. [6] - Fund Trustee: Industrial Bank Co., Ltd. [6] - Total Fund Shares at Reporting Period End: 7,987,245,412.16 shares [3] - Investment Strategy: The fund adopts a strict buy-and-hold strategy, aiming for stable asset appreciation while controlling net value volatility [3]. Performance Metrics - Net Value Growth Rate for the past three months: 0.76% [8] - Net Value Growth Rate for the past six months: 1.41% [8] - Net Value Growth Rate for the past year: 2.91% [8] - Net Value Growth Rate since fund contract inception: 16.38% [8] Investment Composition - Total Value of Bonds Held: 15,015,091,759.87 RMB, accounting for 97.23% of total fund assets [12] - Value of Policy Financial Bonds: 6,821,641,371.69 RMB, representing 80.76% of net asset value [12] Compliance and Fair Trading - The fund operates in accordance with national laws and regulations, ensuring no violations of fund contract commitments [9] - Fair trading procedures are effectively implemented, with no reported incidents of unfair trading or profit transfer [10]