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广汇能源股价涨5.16%,易方达基金旗下1只基金重仓,持有4119.17万股浮盈赚取1153.37万元
Xin Lang Cai Jing· 2026-01-28 03:32
易方达中证红利ETF(515180)基金经理为林伟斌、宋钊贤。 截至发稿,林伟斌累计任职时间12年332天,现任基金资产总规模1194.08亿元,任职期间最佳基金回报 82.52%, 任职期间最差基金回报-22.14%。 1月28日,广汇能源涨5.16%,截至发稿,报5.71元/股,成交11.92亿元,换手率3.34%,总市值364.98亿 元。 资料显示,广汇能源股份有限公司位于新疆维吾尔自治区乌鲁木齐市新华北路165号中天广场27层,成 立日期1999年4月10日,上市日期2000年5月26日,公司主营业务涉及以LNG、煤炭、煤化工、石油为 核心产品,能源物流为支撑的天然气液化、煤化工、石油天然气勘探开发三大业务板块。主营业务收入 构成为:煤炭51.48%,天然气业务32.11%,煤化工产品14.55%,其他1.86%。 从基金十大重仓股角度 数据显示,易方达基金旗下1只基金重仓广汇能源。易方达中证红利ETF(515180)四季度持有股数 4119.17万股,占基金净值比例为1.72%,位居第二大重仓股。根据测算,今日浮盈赚取约1153.37万 元。 易方达中证红利ETF(515180)成立日期2019年 ...
偏爱ETF!公募基金“供给侧”转向,这类新品已在路上
券商中国· 2026-01-28 02:19
Core Viewpoint - The public fund industry is shifting its product supply to meet the growing demand for diversified asset allocation, with a focus on "fixed income+" and FOF products that incorporate ETFs as underlying assets [1][4]. Group 1: Product Supply Shift - The "fixed income+" strategy, which traditionally involved a mix of fixed income and equity assets, is now expanding to include ETFs and other asset types like gold and REITs [2][5]. - As of January 26, 2025, there are 11 new "fixed income+" funds being issued, with a total market size of 2.92 trillion yuan, reflecting a nearly 10% increase from the previous quarter [2][3]. - The FOF products are also gaining traction, with 15 new FOFs being issued and a total management scale of 218.9 billion yuan, marking a 16.91% quarter-on-quarter growth [3][4]. Group 2: Multi-Asset Strategy - The trend towards multi-asset allocation is becoming increasingly evident, with funds like FOF and "fixed income+" attracting significant inflows, indicating a shift in investor strategy towards more diversified portfolios [4][6]. - Investors are encouraged to achieve their investment goals with fewer fund types, which can lower costs and improve efficiency in asset allocation [6]. Group 3: Future of ETFs - There is a strong expectation for the development of multi-asset ETFs, which would enhance the flexibility of public funds in asset allocation, especially in a low-interest-rate environment [7][8]. - Recent initiatives have been announced to explore the launch of multi-asset ETFs, which would include a mix of stocks, bonds, and other asset types, reflecting the evolving investment landscape [8].
现货黄金涨破5200美元,再创历史新高
Sou Hu Cai Jing· 2026-01-28 02:06
与此同时,多家国内品牌金饰价格也有所上调,部分金饰克价站上1580元。截至发稿,周生生报价1577元/克,周大福报价1585元/克,六福珠宝报价1583 元/克,老凤祥报价1576元/克,老庙黄金报价1575元/克。 消息面上,28日起国内两大金银主题LOF暂停相关申购业务。 1月27日晚间,易方达黄金主题LOF发布公告称,易方达基金决定自1月28日起暂停本基金A类份额的申购及定期定额投资业务,赎回业务照常办理。基金 A类份额恢复办理申购、定期定额投资业务的时间将另行公告。稍早前,国投瑞银基金管理有限公司也发布公告称,将于1月28日起暂停旗下国投白银 LOF的A类与C类基金的申购及定投业务。 北京时间28日早盘,现货黄金大幅拉涨,盘中首次站上5200美元,再创历史新高。截至发稿报5201.758美元/盎司,涨0.39%。 展望后市,花旗发布最新年度商品展望报告称,黄金已从"成本定价"转向由财富再配置与供给刚性决定,在牛市情景下或上探6000美元/盎司。德意志银 行认为,美元走弱、供需结构性失衡以及地缘政治风险将大概率在今年推升黄金涨至6000美元/盎司。 | V W | 伦敦金现 | | | | | | | ...
现货黄金刚刚涨破5200美元,再创历史新高
Sou Hu Cai Jing· 2026-01-28 01:41
周二(1月27日)纽约尾盘,现货黄金涨3.4%,报5180.23美元/盎司,创收盘新高,盘中最高触及5190美 元。 与此同时,多家国内品牌金饰价格也有所上调,部分金饰克价站上1580元。截至发稿,周生生报价1577 元/克,周大福报价1585元/克,六福珠宝报价1583元/克,老凤祥报价1576元/克,老庙黄金报价1575元/ 克。 北京时间28日早盘,现货黄金大幅拉涨,盘中首次站上5200美元,再创历史新高。截至发稿报5201.758 美元/盎司,涨0.39%。 消息面上,28日起国内两大金银主题LOF暂停相关申购业务。 1月27日晚间,易方达黄金主题LOF发布公告称,易方达基金决定自1月28日起暂停本基金A类份额的申 购及定期定额投资业务,赎回业务照常办理。基金A类份额恢复办理申购、定期定额投资业务的时间将 另行公告。稍早前,国投瑞银基金管理有限公司也发布公告称,将于1月28日起暂停旗下国投白银LOF 的A类与C类基金的申购及定投业务。 展望后市,花旗发布最新年度商品展望报告称,黄金已从"成本定价"转向由财富再配置与供给刚性决 定,在牛市情景下或上探6000美元/盎司。德意志银行认为,美元走弱、供需结构 ...
A股开盘:三大指数集体高开,创业板指涨0.51%,贵金属领涨,中国黄金4连板,湖南黄金3连板
Jin Rong Jie· 2026-01-28 01:36
沪指开盘涨0.25%,报4150.22点,深成指涨0.29%,报14371.96点,创业板指涨0.51%,报3359.79点,科 创50指数涨0.66%,报1566.19点。沪深两市合计成交额249.24亿元,全市场超2800股下跌。 | 名称 | 涨幅 现价 | 涨跌 | | --- | --- | --- | | 上证指数 | +0.25% 4150.22 +10.32 | | | 深证成指 | +0.29%14371.96 +42.05 | | | 创业板指 | +0.51% 3359.79 +17.19 | | | 科创50 | +0.66% 1566.19 +10.21 | | | 北证50 | +0.05% 1565.76 | +0.83 | 贵金属概念集体高开,中国黄金4连板,湖南黄金3连板,四川黄金、赤峰黄金、招金黄金、豫光金铅、 盛达资源、兴业银锡高开。消息面上,现货黄金盘中首次突破5200美元/盎司,再创新高,新年首月累 计涨超880美元。截至发稿,报5184.54美元/盎司,涨0.05%。 | 名称 | 涨幅量 1分钟涨速 | | | --- | --- | --- | | 贵金属 | ...
广发早知道:汇总版-20260128
Guang Fa Qi Huo· 2026-01-28 01:25
广发早知道-汇总版 广发期货研究所 电 话:020-88818009 E-Mail:zhangxiaozhen@gf.com.cn 目录: 每日精选: 金融期货: 股指期货、国债期货 贵金属: 黄金、白银、铂、钯 集运欧线 商品期货: 有色金属: 铜、氧化铝、铝、铝合金、锌、锡、镍、不锈钢、碳酸锂、工业硅、多 晶硅 黑色金属: 钢材、铁矿石、焦煤、焦炭、硅铁、锰硅 农产品: 油脂、粕类、玉米、生猪、白糖、棉花、鸡蛋、红枣、苹果 能源化工: PX、PTA、乙二醇、短纤、瓶片、纯苯、苯乙烯、LLDPE、PP、甲醇、烧 碱、PVC、尿素、纯碱、玻璃、天然橡胶、合成橡胶 投资咨询业务资格: 证监许可【2011】1292 号 每日重点关注品种逻辑解析 金融衍生品: 组长联系信息: 张晓珍(投资咨询资格:Z0003135) 电话:020- 88818009 邮箱:zhangxiaozhen@gf.com.cn 周敏波(投资咨询资格:Z0010559) 电话:020-81868743 邮箱:zhoumingbo@gf.com.cn 朱迪(投资咨询资格:Z0015979) 电话:020-88818008 邮箱:zhudi@g ...
ETF规模速报 | 有色金属ETF基金净流入超16亿元,沪深300ETF华泰柏瑞净流出超140亿元
Xin Lang Cai Jing· 2026-01-28 01:13
Market Overview - The market rebounded yesterday with all three major indices turning positive, driven by strong performance in the chip industry, precious metals, CPO concepts, and space photovoltaic concepts [1] - Conversely, sectors such as coal and batteries experienced significant declines [1] ETF Fund Flows - On January 27, the non-monetary ETF market saw significant inflows, with the following notable changes: - Huaxia CSI Segmented Nonferrous Metals Industry ETF saw an increase of 704 million shares and a net inflow of 1.657 billion yuan - Huaan Gold ETF increased by 119 million shares with a net inflow of 1.293 billion yuan - Bosera CSI Convertible Bonds and Exchangeable Bonds ETF increased by 74 million shares with a net inflow of 1.088 billion yuan [1][2] ETF Performance - The top 20 ETFs by net inflow as of January 27 include: - Southern CSI Shenwan Nonferrous Metals ETF with a net inflow of 14.474 billion yuan - Huaxia CSI Electric Grid Equipment Theme ETF with a net inflow of 12.740 billion yuan - Penghua CSI Segmented Chemical Industry Theme ETF with a net inflow of 11.980 billion yuan [4] Overall Market Data - As of January 27, the total ETF shares in the market reached 32,858.54 billion shares, with a total scale of 56,365.94 billion yuan - The financial sector saw the largest increase in shares, with 26 funds tracking it - The largest increase in thematic shares was in the CSI Segmented Chemical Industry, with 6 funds tracking it - The highest return index was the Sino-Korean Semiconductor, which increased by 3.98% with 1 fund tracking it [4]
37万亿基金规模排名出炉 10公司跻身“万亿俱乐部”
专题:聚焦2025基金四季报:AI应用、商业航天、核聚变,谁领2026投资主线? 随着2025年四季报披露收官,公募基金行业管理规模再度刷新历史纪录。截至去年末,全行业管理资产规模达到37.64万亿元,单季度增长超 过1.3万亿元(统计不含ETF联接基金规模,后同),延续稳步扩张态势。 相较2024年末,公募管理人总规模前10名均已全部进入"万亿俱乐部"。然而在整体规模持续攀升的背后,行业内部的竞争格局和"主战场"也依 然在过去一年存在着变化。 一个最显著的特征是,过去数年"固收大厂规模占优"的行业生态,正在权益风格回归的环境下悄然生变。尤其在主动投资领域,基金公司投研 能力与产品布局的"含权量",正成为决定规模座次的关键变量。 超6成公募全年实现非货规模增长 从全年来看,管理规模突破1万亿元的公募,已从2024年末的8家增至10家。其中汇添富基金与鹏华基金首次跻身"万亿俱乐部",规模分别达到 11328亿元和10265亿元,这也标志着公募规模前10名的门槛正式升至万亿元以上。 在第5至10名的区间,"大厂们"在2025年末的排名同比则发生了一定微调:富国、嘉实、汇添富的位次有所上升,天弘、博时、鹏华的排名则 ...
10家基金公司跻身“万亿俱乐部”
Group 1: Industry Overview - The public fund industry has reached a record management asset scale of 37.64 trillion yuan by the end of 2025, with a quarterly growth exceeding 1.3 trillion yuan [1] - All top 10 public fund managers have entered the "trillion club," indicating a significant shift in the competitive landscape within the industry [1][3] - The dominance of fixed-income funds is changing as the market shifts back to equity styles, with research capabilities and product layout becoming key determinants of scale [1] Group 2: Fund Manager Rankings - The top two fund managers, E Fund and Huaxia Fund, have surpassed 2 trillion yuan in scale, with E Fund at 2.42 trillion yuan and Huaxia Fund at 2.16 trillion yuan, showing quarterly growth rates of 1.16% and 0.54% respectively [3] - The rankings for the top 10 fund managers remained consistent from the third quarter to the end of the year, with notable growth from Guangfa Fund and Southern Fund [3][4] - The number of public funds exceeding 1 trillion yuan has increased from 8 to 10, with Huitianfu and Penghua Fund entering the "trillion club" for the first time [4] Group 3: Non-Monetary Scale Growth - Over 60% of public funds achieved growth in non-monetary scale by the end of 2025, with 100 out of 164 fund companies reporting increases [6] - E Fund's non-monetary scale grew from 1.34 trillion yuan to 1.66 trillion yuan, while Huaxia Fund's increased from 1.16 trillion yuan to 1.44 trillion yuan [6] - The growth in non-monetary scale is closely linked to the performance of actively managed equity and "fixed income plus" products [8] Group 4: Active Management and Product Performance - Four institutions reported over 100 billion yuan in growth for their actively managed products, with significant contributions from "fixed income plus" offerings [8][10] - Jingshun Longcheng Fund led the growth in non-monetary scale with a 43.93% increase, driven by its "fixed income plus" products [8][10] - The shift in product strategy reflects a broader industry trend towards sustainable performance rather than just launching new products [11]
系统规范公募基金业绩比较基准管理
Jin Rong Shi Bao· 2026-01-28 00:46
近日,中国证监会发布《公开募集证券投资基金业绩比较基准指引》(以下简称《指引》),中国 证券投资基金业协会同步发布《公开募集证券投资基金业绩比较基准操作细则》(以下简称《操作细 则》),《指引》自2026年3月1日起施行。这标志着公募基金行业基准管理步入系统化、规范化新阶 段,有助于根治基金"风格漂移"、基准滥用等乱象,强化产品透明度与投资纪律。 中信证券研究部认为,业绩基准作为公募基金投资的"锚"和"尺",《指引》的推出,从源头上防范 公募基金"风格漂移"问题。《指引》覆盖范围全面,向内明确了基金公司全链条内控机制,向外对基金 业务三方机构的协同监督机制提出统一要求。 明确"锚"和"尺"作用 业绩比较基准,是指基金管理人在基金合同、招募说明书等基金法律文件中约定的,用于表征产品 投资风格、衡量产品业绩、约束投资行为的参考标准。从功能作用看,业绩比较基准是基金投资 的"锚"和"尺",发挥确定产品定位、明晰投资策略、表征投资风格、衡量产品业绩、约束投资行为等重 要作用。 分析人士认为,"锚"用来明确投资风格、约束投资行为、防范"风格漂移"、提升投资稳定 性;"尺"可以衡量基金业绩是否跑赢市场,对基金经理进行考核 ...