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信达澳亚产品业绩持续发力 近一年44只产品收益超30%
Zhong Guo Ji Jin Bao·2025-09-19 01:24

Core Insights - The A-share market has shown strong performance over the past year, with public fund industry returns significantly increasing, leading to impressive results from Xinda Aoya's actively managed funds [1][2][3] Fund Performance - Xinda Aoya has 44 products with over 30% returns in the past year, including 35 products with gains exceeding 50%, and 32 products with gains over 70%, with 17 products achieving over 100% returns [1][2] - Notable funds include: - Xinda Performance Driven A: 237.62% - Xinda Advantage Industry A: 149.94% - Xinda Prosperity Selection A: 141.03% [1][2] Investment Strategy - The company focuses on core sectors such as technology, pharmaceuticals, new energy, consumption, and manufacturing, employing a research team that integrates macro research, industry analysis, and stock selection [2][3] - Xinda Aoya's diversified product matrix caters to different risk preferences and investment goals, with specific funds targeting high-growth opportunities and economic cycle trends [3] Risk Management - The company incorporates risk management into its product design, establishing a multi-dimensional risk control system covering credit, market, and liquidity risks [3] - This balanced approach allows the company to capture opportunities while effectively mitigating risks in volatile markets [3] Long-term Performance - According to Guotai Junan Securities, Xinda Aoya's equity and fixed income products achieved returns of 17.86% and 24.46% over five years, ranking 47th and 8th among 137 fund companies, respectively [3] - Over seven years, the returns for equity and fixed income products were 149.24% and 39.28%, placing them 2nd and 9th among 115 fund companies [3]