平安公司债ETF(511030)回撤可控稳定,备受市场关注
Sou Hu Cai Jing·2025-08-13 02:06

Group 1 - The core viewpoint of the article highlights that Ping An's bond ETF (511030) has the best performance in terms of controlling drawdown during the recent bond market adjustment, maintaining a relatively stable net value and manageable drawdown [1] - Since the bond market adjustment began on February 10, 2025, the market has gradually digested the impact of VAT adjustments, with a cautious market sentiment awaiting the issuance of local and national bonds on Friday [1] - The 10-year government bond yield has hovered around 1.685%, indicating a resilient bond market under the influence of easing liquidity [1] Group 2 - The bond market experienced fluctuations throughout the week, with long-term bonds outperforming short-term ones, reflecting a mixed performance on Tuesday [1] - The market showed a lack of clear direction on Wednesday, with long bond yields fluctuating, while Thursday saw a continuation of the oscillating trend with long bond yields stabilizing at low levels [1] - On Friday, the issuance of national and local bonds led to an initial rise in bond market yields, followed by a subsequent decline [1]