Core Viewpoint - The report outlines the performance and strategies of the Hai Futong CSI 2000 Enhanced Strategy ETF for the first half of 2025, highlighting its investment approach, financial metrics, and market conditions that influenced its performance [1][11][12]. Fund Overview - Fund Name: Hai Futong CSI 2000 Enhanced Strategy ETF - Fund Manager: Hai Futong Fund Management Co., Ltd. - Fund Custodian: China Merchants Bank Co., Ltd. - Total Fund Shares at Period End: 9,326,751.00 shares - Fund Contract Effective Date: March 27, 2024 - Investment Objective: To achieve long-term capital appreciation by tracking the CSI 2000 Index with a tracking error not exceeding 0.35% daily and 6.50% annually [1][2]. Investment Strategy - The fund employs a quantitative investment analysis and fundamental research approach, focusing on stock investments that track the CSI 2000 Index while utilizing quantitative models to enhance returns [1][2]. - The fund's investment strategies include stock, bond, convertible bonds, asset-backed securities, stock index futures, and options [1][2]. Financial Performance - Realized Income for the Period: CNY 1,196,154.80 - Profit for the Period: CNY 2,070,828.34 - Average Net Value Profit Rate: 19.70% - Fund Share Net Value Growth Rate: 23.12% - Net Asset Value at Period End: CNY 13,652,227.11 - Cumulative Net Value Growth Rate: 46.38% [2][3]. Market Conditions - The domestic economy showed moderate recovery in the first half of 2025, with GDP growth rates of 5.4% and 5.2% in Q1 and Q2, respectively [11]. - The CSI 2000 Index increased by 15.24% during the same period, outperforming other major indices [12]. - The fund's investment strategy adapted to market conditions, focusing on small-cap and growth styles, which were favorable for its quantitative strategies [12][13]. Management Report - The fund management adhered to legal regulations and maintained fair trading practices, ensuring no conflicts of interest or unfair trading activities occurred during the reporting period [9][10]. - The management team actively adjusted investment models to capture excess returns while maintaining risk control [12][13].
2000ETF增强: 海富通中证2000增强策略交易型开放式指数证券投资基金2025年中期报告