Core Insights - The public fund industry in China achieved a record profit of 2.6 trillion yuan in 2025, recovering from a cumulative loss of 1.87 trillion yuan from 2022 to 2023 [1][2] - Despite a loss of approximately 110 billion yuan in Q4 2025, the overall annual performance marked a significant recovery for the industry [2][3] Fund Performance - In Q4 2025, public funds reported a total loss of 1,097.65 billion yuan, ending a streak of seven consecutive profitable quarters [2][3] - Equity funds were the hardest hit, with a combined loss of 1,306.91 billion yuan in Q4, while mixed funds lost 499.56 billion yuan [3][4] - For the entire year, equity funds still managed to generate a profit of 1.99 trillion yuan, despite the Q4 downturn [4] Product Categories - QDII funds and FOF funds also faced losses in Q4, amounting to 710.47 billion yuan and 2.12 billion yuan respectively, but ended the year with profits of 1,125.22 billion yuan and 186.38 billion yuan [4] - Fixed-income products, including bond and money market funds, contributed significantly to profits, with bond funds earning 580.81 billion yuan and money market funds 443.13 billion yuan [4] Fund Company Performance - Among 167 fund companies, 108 reported positive profits, with over 60% achieving profitability [5] - Notable performers included Guotou Ruijin Fund, which led the industry with a profit of 72.82 billion yuan [5] Stock Holdings Adjustments - Public funds increased their holdings in 83 new stocks by the end of Q4 2025, with a focus on technology and cyclical sectors [7] - Ningde Times remained the top holding stock, despite a reduction of 1,993 million shares, while Zhongji Xuchuang became the most held stock among active funds [10][11] Sector Focus - The communication sector, particularly in optical modules, saw increased institutional investment, with Zhongji Xuchuang and Xinye Technology becoming top holdings [10] - The top three sectors for public fund investments were electronics, power equipment, and communication, with significant capital allocated to these areas [13]
公募去年四季度亏超千亿终结七连盈,科技周期成加仓核心