Workflow
产品创新不停歇,高质量发展鹏扬在行动
Xin Lang Ji Jin·2025-10-20 09:56

Core Viewpoint - The public fund industry in China is entering a critical phase of deepening reforms and enhancing quality and efficiency, aiming for high-quality development to meet national strategies and public expectations [1] Group 1: Industry Developments - The Beijing Securities Regulatory Bureau, in collaboration with the Beijing Securities Association and over 40 public fund management firms, launched a series of activities focused on high-quality development in the public fund sector, themed "New Era, New Fund, New Value" [1] - The initiative aims to enhance investor education and protection, promote the transformation and upgrading of the public fund industry, and improve its ability to serve the real economy [1] Group 2: Company Innovations and Strategies - Pengyang Fund has established itself as a rising force in the domestic public fund market, achieving a total management scale exceeding 200 billion yuan by the end of September 2025, driven by innovation embedded in its business development [1][2] - The company has launched the first short-term bond fund in the market in 2017 and has expanded into "fixed income plus" products to cater to shifting investor risk preferences [2] - In the equity business, Pengyang Fund has aligned its product offerings with national strategies and market demands, introducing investment tools focused on digital economy, advanced manufacturing, pharmaceuticals, and consumption [3] - The company has developed various index products, including the first quality factor smart index fund and the first digital economy theme index ETF, responding to the passive investment trend [3] - The "Action Plan for Promoting High-Quality Development of Public Funds" released in May 2025 serves as a guiding document for future product innovation and strategic direction [4] - Pengyang Fund plans to enhance its active investment management capabilities and develop more actively managed equity funds with clear investment styles and stable long-term returns [4]