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中邮因子周报:动量表现强势,小盘成长占优-20250811
China Post Securities·2025-08-11 10:10
  • The report tracks the performance of style factors, including momentum, beta, and liquidity factors, which showed strong long positions, while leverage, market capitalization, and valuation factors exhibited strong short positions[3][16] - The report includes the performance of fundamental factors across different stock pools, such as the CSI 300, CSI 500, and CSI 1000, highlighting that low valuation and high growth stocks were generally strong[5][6][7][20][22][25] - Technical factors' performance was mostly positive, with high volatility and long-term momentum stocks performing well, except for the 20-day momentum factor which showed negative performance[4][18][23][26] - The GRU factors' performance was weak overall, with the close1d model showing strong performance, while other models like open1d and barra1d experienced drawdowns[4][5][6][7][18][20][23][26] - The report details the construction and recent performance of the GRU long-only portfolios, noting that the barra1d model outperformed the CSI 1000 index by 0.38%, while the open1d and close1d models underperformed by 0.40%-0.53%[8][31][32] Factor Construction and Performance - Barra Style Factors: The report lists several style factors such as Beta, Market Cap, Momentum, Volatility, Non-linear Size, Valuation, Liquidity, Profitability, Growth, and Leverage, with detailed formulas for each[14][15] - Fundamental Factors: The report tracks various fundamental factors, including unexpected growth and growth-related financial factors, with mixed performance across different stock pools[4][5][6][7][18][20][22][25] - Technical Factors: The report includes several technical factors, such as 20-day momentum, 60-day momentum, 120-day momentum, and various volatility measures, with detailed performance metrics[4][18][23][26] Factor Performance Metrics - Fundamental Factors: - Operating Turnover: -1.14% (1 week), 4.19% (1 month), -11.23% (6 months), -11.52% (YTD), -1.86% (3-year annualized), 3.31% (5-year annualized)[19] - ROC: -0.68% (1 week), 0.89% (1 month), -10.51% (6 months), -10.59% (YTD), -13.06% (3-year annualized), -11.85% (5-year annualized)[19] - ROE Growth: 0.36% (1 week), 2.01% (1 month), 10.43% (6 months), 2.27% (YTD), 0.38% (3-year annualized), 2.61% (5-year annualized)[19] - Technical Factors: - 20-day Momentum: -0.73% (1 week), 0.66% (1 month), -8.17% (6 months), -12.18% (YTD), -13.19% (3-year annualized), -13.77% (5-year annualized)[19] - Median Deviation: -0.38% (1 week), -3.25% (1 month), -5.83% (6 months), -4.72% (YTD), -15.12% (3-year annualized), -15.62% (5-year annualized)[19] - 60-day Momentum: 0.35% (1 week), -3.31% (1 month), 2.64% (6 months), 5.08% (YTD), -12.82% (3-year annualized), -16.17% (5-year annualized)[19] GRU Model Performance - GRU Long-Only Portfolios: - open1d: -0.40% (1 week), -0.20% (1 month), 2.37% (3 months), 6.32% (6 months), 7.16% (YTD)[32] - close1d: -0.53% (1 week), -0.83% (1 month), 4.38% (3 months), 6.80% (6 months), 6.59% (YTD)[32] - barra1d: 0.38% (1 week), -0.25% (1 month), 0.85% (3 months), 2.85% (6 months), 3.78% (YTD)[32] - barra5d: 0.00% (1 week), -0.36% (1 month), 3.59% (3 months), 7.41% (6 months), 8.37% (YTD)[32] - Multi-Factor: -0.38% (1 week), -0.30% (1 month), 1.62% (3 months), 2.54% (6 months), 2.54% (YTD)[32]