Core Insights - The average return of asset management products displayed on the "Private Equity排排网" platform for May 2025 is 0.66%, with 72.55% of products showing positive returns [2][3] - Multi-asset strategy products lead in performance with an average return of 1.53% for May 2025, while stock and derivative strategies have shown over 10% returns in the past year [2][3] Performance by Strategy Futures and Derivatives Strategy - There are 119 products in this category, with an average return of 0.27% for May 2025 and a one-year average return of 13.33% [3][10] - The top three products in this strategy have achieved significant returns, with the highest being managed by 瑞达期货 [8][11] Combination Fund Strategy - A total of 111 products are reported, with an average one-year return of 8.49% and 79.28% of products showing positive returns [12][15] - The leading product in this category is managed by 招商期货, achieving notable returns [12][15] Multi-Asset Strategy - There are 32 products in this category, with a one-year average return of 4.52% and a May 2025 average return of 1.53% [16][18] - The top product is managed by 五矿期货, demonstrating a significant advantage in returns [16][18] Bond Strategy - This category includes 66 products, with an average one-year return of 4.05% and a high positive return rate of 92.42% [19] - The leading product is managed by 海通期货, showcasing strong performance [19]
最新资管产品榜揭晓!超7成正收益!国海良时、瑞达、招商、海通期货等夺冠!
私募排排网·2025-06-23 03:51