英维克股价跌5.09%,东方阿尔法基金旗下1只基金重仓,持有324.84万股浮亏损失1140.19万元

Company Overview - Invech Technology Co., Ltd. is located in Longhua District, Shenzhen, Guangdong Province, and was established on August 15, 2005. The company went public on December 29, 2016. Its main business involves the research, production, and sales of precision temperature control energy-saving equipment, as well as air conditioning and maintenance services for rail transit trains and traditional buses [1]. Business Revenue Composition - The revenue composition of Invech is as follows: 52.50% from data center temperature control energy-saving products, 36.00% from cabinet temperature control energy-saving products, 9.82% from other sources, 0.93% from rail transit train air conditioning and services, and 0.75% from bus air conditioning [1]. Stock Performance - On November 24, Invech's stock price fell by 5.09%, closing at 65.39 CNY per share, with a trading volume of 1.76 billion CNY and a turnover rate of 3.07%. The total market capitalization is 63.857 billion CNY [1]. Fund Holdings - The Oriental Alpha Fund has a significant holding in Invech, specifically in the Oriental Alpha Advantage Industry Mixed A Fund (009644), which reduced its holdings by 797,600 shares in the third quarter, now holding 3.2484 million shares, accounting for 6.57% of the fund's net value [2]. Fund Performance - The Oriental Alpha Advantage Industry Mixed A Fund has a total size of 1.915 billion CNY and has achieved a year-to-date return of 41.81%, ranking 891 out of 8209 in its category. Over the past year, it has returned 30.41%, ranking 1566 out of 8129, and since inception, it has returned 66.61% [2]. Fund Manager Information - The fund managers of the Oriental Alpha Advantage Industry Mixed A Fund are Zhou Mi and Tang Lei. Zhou Mi has a tenure of 7 years and 267 days, with a total fund size of 6.989 billion CNY and a best return of 112.22% during his tenure. Tang Lei has a tenure of 9 years and 149 days, managing a fund size of 3.952 billion CNY, with a best return of 66.61% [3].