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公募基金周报(20250623-20250627)-20250630
Mai Gao Zheng Quan· 2025-06-30 06:57
证券研究报告—公募基金周报 撰写日期:2025 年 06 月 30 日 公募基金周报(20250623-20250627) 投资要点 本周 A 股市场迎来强势反弹,上证指数一举突破年内高点,交投热情 显著升温。受地缘政治局势缓和影响,市场风险偏好明显提升,叠加国内稳 增长政策密集出台,共同推动股指震荡上行。全周来看,日均成交额环比大 幅增加 22.36%。降息预期提升,美元指数持续下行,COMEX 黄金下跌 2.94%, 中债市场维持窄幅震荡。本周贝塔因子和流动性因子涨幅居前,市值因子跌 幅较大。股指期货合约基差整体上行,股票对冲策略净值持续回撤,中性对 冲基金本周收益的平均值和中位数分别为-0.10%和-0.03%。 主动权益产品根据本周涨幅排序:深度低估策略中排名前三的分别为 东方互联网嘉(9.65%)、前海开源事件驱动 A(7.31%)、广发沪港深价值成 长 A(6.88%);高成长策略中排名前三的分别为中欧景气前瞻一年持有 A (10.31%)、圆信永丰高端制造(7.93%)、华富国泰民安 A(7.35%);高质 量策略中排名前三的分别为富荣福锦 A(7.09%)、长城久鑫 A(6.43%)、易 方达 ...
信达澳亚基金吴清宇:穿越周期迷雾 以合理估值锚定确定性成长
Zheng Quan Shi Bao· 2025-06-29 18:03
去年以来,优秀主动权益基金经理走出业绩调整期,产品净值不仅修复回撤,更开启上升趋势,部分基 金经理的基金净值曲线在今年站上历史高点。信达澳亚基金基金经理吴清宇便是其中代表,投资生涯起 步于保险资管的吴清宇,和很多险资背景的基金经理类似,秉持"绝对收益思维"。他通过产业前瞻与动 态估值管理获取长期绝对回报,在管信澳景气优选、信澳优势产业等基金近一年业绩均位居同类前列。 近期,吴清宇在接受证券时报记者专访时表示,通过产业前瞻锁定高成长赛道,以合理估值深挖优质个 股,高频扫描市场动态,始终保持组合高性价比,致力于为投资者创造长期价值。 绝对收益思维 构筑投资根基 吴清宇拥有北京大学电子学学士、经济学硕士以及香港大学金融学硕士学位,具备工科和金融复合背 景。2011年7月起,他历任融通基金、德邦证券行业研究员。他的投资生涯起步于保险资管领域,2016 年在中国人保资管担任专户投资经理,后进入公募基金行业担任基金经理,2020年加入信达澳亚基金。 在公募基金行业从业多年,吴清宇践行"绝对收益思维"。他认为,投资获利不仅需要资产优质,还需要 足够便宜。通过选择便宜的优质资产,自然能获得良好回报。 这一理念与GARP策略( ...
净利润断层本周超额基准3.24%
Tianfeng Securities· 2025-06-28 13:28
金融工程 | 金工定期报告 金融工程 证券研究报告 基于投资者偏好因子构建增强沪深 300 组合,历史回测超额收益稳定。本 年组合相对沪深 300 指数超额收益为 13.23%;本周超额收益为-0.10%;本 月超额收益为 2.40%。 净利润断层本周超额基准 3.24% 戴维斯双击策略 戴维斯双击即指以较低的市盈率买入具有成长潜力的股票,待成长性显现、 市盈率相应提高后卖出,获得乘数效应的收益,即 EPS 和 PE 的"双击"。 策略在 2010-2017 年回测期内实现了 26.45%的年化收益,超额基准 21.08%。 今年以来,策略累计绝对收益 16.55%,超额中证 500 指数 14.14%,本周策 略超额中证 500 指数-0.15%。本期组合于 2025-05-06 日开盘调仓,截至 2025-06-27 日,本期组合超额基准指数 1.75%。 净利润断层策略 净利润断层策略是基本面与技术面共振双击下的选股模式,其核心有两点: "净利润",指通常意义上的业绩超预期;"断层",指盈余公告后的首个交 易日股价出现向上跳空,该跳空通常代表市场对盈余报告的认可程度。 策略在 2010 年至今取得了年化 ...
收益、规模双丰收!盘一盘上半年优势ETF,你买对了吗?
Sou Hu Cai Jing· 2025-06-26 08:12
古语有云"吾日三醒吾身"。只有不断地总结经验,权衡利弊,才能走的更远。生活如此,投资亦如此。 2025行程过半,今年各位投资者都赚钱了吗?其实在9.24行情之后市场上的量能较此前有了明显上升,之前估值较低的诸如 医药、新能源都有估值修复的动作。但今年ETF市场最亮眼的仔又是谁呢?今天我们就来重点盘点一下上半年市场ETF的表 现,喜欢的小伙伴建议收藏。 债券ETF成为上半年"销冠" 盘点上半年的整体数据可以发现,今年上半年,在股票市场回暖的背景下,ETF的份额和资产规模继续保持增长。截至6月25 日,全市场非货币ETF合计份额为4300万亿元,相比年初增长了超5000亿元。 纵观整个市场,债券类ETF虽然数量不多,场内基金总共就29支,但正是这29支基金贡献近1600亿的销量,堪称上半年 ETF"销冠"! 年初至今ETF总体规模涨幅 | | 资金净流入(亿元) | 场内规模(市值,亿元) | 音樂劇書(台) | | --- | --- | --- | --- | | 整体ETF市场 | +3.060.8023 | 43.066.0459 | 1,204 | | 股票型ETF | +138.6650 | 30.4 ...
解码“灰马股”长跑秘诀、剖析量化“织网捕鱼”、挖掘医药核心机会!三大基金经理最新研判
券商中国· 2025-06-23 22:53
编者按: 当前资本市场正经历前所未有的变革与挑战,如何借助专业投研力量优化资产配置,成为投资者迫切关注的核心命题。与此同时,中国公募基金行业正经历从规 模扩张向高质量发展的深刻生态变革,基金经理队伍的迭代更新与投研体系的深度重塑,为市场注入全新活力。 在行业变革与市场波动交织之际,券商中国推出《基金经理周周看》栏目,以 "拨云穿雾" 的专业视角锚定产业趋势研判。栏目将通过深度对话优秀基金经理群 体,系统解构其投资框架的底层逻辑与市场前瞻思维,构建连接产业变革与资产配置的专业桥梁,为投资者提供兼具行业深度与市场时效性的价值参考。 本期《基金经理周周看》栏目关注的三位基金经理:业绩长跑健将博时基金基金经理田俊维如何解码"灰马股"长跑秘诀?工银瑞信基金基金经理焦文龙如何通过量 化投资"织网捕鱼"?长城医药产业精选基金经理梁福睿对当下火热的创新药行情又有何独到见解? 博时基金田俊维:解码"灰马股"长跑秘诀,锚定三大黄金赛道 近年来,博时基金基金经理田俊维凭借以GARP(以合理的价格买成长)策略为核心投资框架取得绩优业绩引起市场关注。GARP策略融合了价值投资与成长投资的 内核,旨在规避单一策略的局限性。 2017年, ...
Espey Mfg. & Electronics: A Profitable Defense Contractor Trading At A Discount
Seeking Alpha· 2025-06-19 13:19
Espey Mfg. & Electronics ( ESP ) builds rugged power electronics used mostly in defense systems — not the kind of products that win awards at trade shows, but they work, and they’ve worked for a long time. ThisStork Research is the work of a private investor with four years of experience specializing in overlooked and undercovered markets. With a focus on micro-cap and small-cap equities exhibiting strong growth at reasonable valuations (GARP), Stork Research emphasizes deep, fundamentals-based analysis in ...
DoubleDown Interactive: Insider Sale Doesn't Change The Fundamentals, I'm Doubling Down
Seeking Alpha· 2025-06-16 11:15
Group 1 - DoubleDown Interactive (DDI) experienced a significant decline of 23.7% on June 12 following an insider selling shares at $8.50 each, raising questions about its investment potential [1] - Despite the recent drop, there is a belief that DDI remains a viable investment opportunity [1] Group 2 - The investment strategy focuses on GARP (growth at a reasonable price) stocks while also seeking opportunities in other areas [2] - The investment approach does not adhere to a specific time horizon, with positions held as long as the investment thesis remains valid [2] - The analyst has developed market-beating algorithms using Python to identify attractive investment opportunities [2]
沪深300增强本周超额基准0.95%
Tianfeng Securities· 2025-06-15 06:48
金融工程 | 金工定期报告 金融工程 证券研究报告 沪深 300 增强本周超额基准 0.95% 戴维斯双击策略 戴维斯双击即指以较低的市盈率买入具有成长潜力的股票,待成长性显现、 市盈率相应提高后卖出,获得乘数效应的收益,即 EPS 和 PE 的"双击"。 策略在 2010-2017 年回测期内实现了 26.45%的年化收益,超额基准 21.08%。 今年以来,策略累计绝对收益 14.65%,超额中证 500 指数 14.40%,本周策 略超额中证 500 指数 0.23%。本期组合于 2025-05-065 日开盘调仓,截至 2025-06-13 日,本期组合超额基准指数 2.19%。 净利润断层策略 净利润断层策略是基本面与技术面共振双击下的选股模式,其核心有两点: "净利润",指通常意义上的业绩超预期;"断层",指盈余公告后的首个交 易日股价出现向上跳空,该跳空通常代表市场对盈余报告的认可程度。 策略在 2010 年至今取得了年化 28.69%的收益,年化超额基准 27.07%。本 年组合累计绝对收益 18.68%,超额基准指数 18.42%,本周超额收益-1.27%。 沪深 300 增强组合 根据对优 ...
4 Attractive GARP Picks for Your Portfolio Based on PEG Ratio
ZACKS· 2025-06-12 20:01
Key Takeaways Four GARP stocks, FLEX, CVS, URBN, and EXEL, were selected using a screen focused on PEG and value scores. Each pick has a PEG ratio below industry median, solid earnings outlook and a Zacks Rank of #1 or #2. FLEX leads with a 35.1% historical growth rate, while EXEL boasts 21.2% expected long-term earnings growth.In the equity market, investments always need to be prudently hedged to overcome uncertainties and limit losses related to external shocks. A question that often arises is whether ...
Are AI Stocks Overpriced? These 3 Leaders Look Cheap (NVDA, TSM, VRT)
ZACKS· 2025-06-12 14:31
Core Viewpoint - The AI trade is gaining consensus on Wall Street, with major companies like Nvidia, Taiwan Semiconductor, and Vertiv trading at reasonable valuations despite the hype surrounding AI innovation [1][2]. Company Summaries Taiwan Semiconductor (TSM) - TSM plays a critical role in the global semiconductor supply chain, particularly in AI chip production, reporting nearly a 40% year-over-year increase in monthly revenue due to high demand for AI chips [3][4]. - Full-year sales are expected to grow by 28.2% in 2025 and 14.8% in 2026, with long-term earnings projected to grow at a 20.8% annual rate over the next three to five years [4]. - The stock trades at 23.1x forward earnings, aligning with its five-year median, making it an attractive investment given its strategic importance and growth potential [5]. Nvidia (NVDA) - Nvidia is the leader in AI hardware design, with its GPUs being essential for AI training and inference systems, and is expanding into robotics and quantum computing [7]. - Earnings are projected to grow at 28.2% annually over the next three to five years, with sales expected to increase by 51.4% this year and 25.1% next year [8]. - The stock trades at 36x forward earnings, significantly below its five-year median of 55x, presenting a buying opportunity for a high-growth company at a discounted valuation [9]. Vertiv (VRT) - Vertiv provides critical power and thermal management solutions for data centers, which are essential for the AI infrastructure [10][11]. - Sales are projected to grow in the high teens for the next two years, with earnings expected to rise at 27.2% annually over the next three to five years [14]. - The stock trades at 30.6x forward earnings, a premium to its five-year median of 23.3x, justified by its strong growth profile and a PEG ratio just above 1 [14]. Investment Considerations - Nvidia, Taiwan Semiconductor, and Vertiv are essential to the AI supply chain and offer reasonable valuations compared to other speculative AI investments, making them compelling options for investors [15][16].