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稳健增利LOF: 浦银安盛稳健增利债券型证券投资基金(LOF)2025年中期报告
Zheng Quan Zhi Xing· 2025-08-29 14:32
Fund Overview - The fund is named "浦银安盛稳健增利债券型证券投资基金(LOF)" and is managed by浦银安盛基金管理有限公司 with Shanghai Bank as the custodian [1][2] - The fund aims to achieve investment returns higher than its performance benchmark while strictly controlling investment risks [1] - The fund's performance benchmark was changed on May 9, 2025, to a combination of 85% 中债综合(全价)指数收益率, 5% 中证可转换债券指数收益率, and 10% 银行活期存款利率 (after tax) [1][5] Financial Performance - As of June 30, 2025, the fund's total shares were 1,688,740,993.19 [1] - The fund achieved realized income of 8,659,535.30 RMB for Class A and 4,406,069.02 RMB for Class C during the reporting period [3] - The net asset value growth rate for Class A was 1.15%, while Class C recorded a growth rate of 0.97% during the same period [23] Investment Strategy - The fund employs a top-down approach for asset allocation and duration management, while a bottom-up approach is used for individual security selection [1] - The fund primarily invests in high-grade credit bonds and interest rate bonds, with a low allocation to convertible bonds [22] - The fund's strategy includes maintaining liquidity and adjusting positions based on market conditions, with a focus on high dividend and growth sectors [26] Market Outlook - The second half of 2025 is expected to see continued economic recovery, with policies aimed at reducing competition and improving supply chains [25] - The fund anticipates a stable bond market with potential upward pressure on interest rates, while maintaining a cautious approach to investment [25][26] - The fund will continue to focus on low-priced convertible bonds and sectors with high growth potential [26]
鹏华丰泽LOF: 鹏华丰泽债券型证券投资基金(LOF)2025年中期报告
Zheng Quan Zhi Xing· 2025-08-27 13:25
鹏华丰泽债券型证券投资基金(LOF) 基金管理人:鹏华基金管理有限公司 基金托管人:中国邮政储蓄银行股份有限公司 送出日期:2025 年 8 月 28 日 鹏华丰泽债券(LOF)2025 年中期报告 基金管理人的董事会、董事保证本报告所载资料不存在虚假记载、误导性陈述或重大遗漏, 并对其内容的真实性、准确性和完整性承担个别及连带的法律责任。本中期报告已经三分之二以 上独立董事签字同意,并由董事长签发。 基金托管人中国邮政储蓄银行股份有限公司根据本基金合同规定,于 2025 年 08 月 27 日复核 了本报告中的财务指标、净值表现、利润分配情况、财务会计报告、投资组合报告等内容,保证 复核内容不存在虚假记载、误导性陈述或者重大遗漏。 基金管理人承诺以诚实信用、勤勉尽责的原则管理和运用基金资产,但不保证基金一定盈利。 基金的过往业绩并不代表其未来表现。投资有风险,投资者在作出投资决策前应仔细阅读本 基金的招募说明书及其更新。 本报告中财务资料未经审计。 本报告期自 2025 年 01 月 01 日起至 2025 年 06 月 30 日止。 第 2页 共 54页 鹏华丰泽债券(LOF)2025 年中期报告 第 3 ...
食品饮料ETF: 招商国证食品饮料行业交易型开放式指数证券投资基金2025年中期报告
Zheng Quan Zhi Xing· 2025-08-27 10:38
Fund Overview - The fund is named "Zhaoshang Guozheng Food and Beverage Industry Exchange-Traded Fund" and was established on January 25, 2021 [2] - The fund aims to closely track the performance of the Guozheng Food and Beverage Industry Index, with a target tracking deviation of no more than 0.20% on a daily basis and an annual tracking error of no more than 2% [2][3] - The fund employs a passive investment strategy through full replication of the underlying index [2] Financial Performance - The fund reported a realized loss of approximately 7.19 million RMB and a total profit loss of about 17.31 million RMB for the reporting period from January 1, 2025, to June 30, 2025 [3][4] - The weighted average net value profit rate was -5.95%, and the fund's share net value growth rate was -6.09% [3][4] - The fund's total net asset value at the end of the reporting period was approximately 288.81 million RMB, with a share net value of 0.6355 RMB [3][4] Investment Strategy - The fund's investment strategy includes constructing a stock portfolio based on the composition and weight of the underlying index's constituent stocks [2] - The fund's performance benchmark is the return rate of the Guozheng Food and Beverage Industry Index [2] Management and Compliance - The fund management company, Zhaoshang Fund Management Co., Ltd., is responsible for managing the fund's assets with a commitment to honesty and diligence [4][5] - The fund has established a comprehensive research and investment decision-making process to ensure fair investment opportunities across all portfolios [8][9] Market Context - During the reporting period, the overall A-share market showed a certain degree of upward volatility, with the CSI 300 Index rising by 0.03% and the CSI 500 Index increasing by 3.31% [9][10] - The fund's net value growth rate of -6.09% outperformed the benchmark growth rate of -8.72% during the same period [10]
东兴基金调整旗下持有华虹公司相关基金估值方法
Zhong Guo Jing Ji Wang· 2025-08-21 08:17
Group 1 - The core point of the announcement is that Dongxing Fund Management Co., Ltd. will adjust the valuation method for its funds holding the suspended stock "Huahong Company" (stock code: 688347) to the "index income method" starting from August 20, 2025 [1] - The index used for this valuation will be the AMAC Industry Index, which is the stock valuation index of the Asset Management Association of China [1] - The company will consider various relevant factors and negotiate with the fund custodian, and will revert to using the closing price for valuation once the stock resumes trading and reflects active market trading characteristics [1]
东方基金调整旗下部分持有华虹公司基金估值方法
Zhong Guo Jing Ji Wang· 2025-08-19 07:49
Group 1 - The core point of the announcement is that Dongfang Fund Management Co., Ltd. will adjust the valuation method for the suspended stock held by its funds, specifically for Huahong Company (688347) [1] - Starting from August 18, 2025, the valuation method for Huahong Company will change to the "index income method," using the AMAC industry index as the reference [1] - The fund will consider various influencing factors and negotiate with the custodian bank, and will revert to using the closing price for valuation once the stock demonstrates active market trading characteristics [1]
前海开源调整旗下持有中国神华相关基金估值方法
Zhong Guo Jing Ji Wang· 2025-08-15 07:43
中国经济网北京8月15日讯昨日,前海开源基金管理有限公司发布关于旗下基金调整长期停牌股票估值 方法的提示性公告。 根据《中国证券监督管理委员会关于证券投资基金估值业务的指导意见》(证监会公告[2017]13号)以及 中国证券投资基金业协会《关于发布中基协(AMAC)基金行业股票估值指数的通知》(中基协发[2013]第 13号)等有关规定,经前海开源基金管理有限公司(以下简称"本公司")与基金托管人协商一致,自2025年 8月13日起,以中基协AMAC行业指数为计算依据,对本公司旗下基金(ETF除外)所持有的"中国神 华"(证券代码:601088),采用基金估值工作小组《关于停牌股票估值的参考方法》中的"指数收益法"进 行估值。 自"中国神华"复牌且其交易体现了活跃市场交易特征后,恢复采用交易所当日收盘价进行估值,届时不 再另行公告。敬请投资者予以关注。 ...
万家基金管理有限公司关于旗下基金 持有的停牌股票估值方法变更的公告
Group 1 - The stock of China Shenhua (stock code: 601088) will be suspended from trading starting August 4, 2025 [1] - From August 7, 2025, the company will adopt the "index income method" for valuing the shares held by its funds, excluding exchange-traded open-end index funds [1] - The valuation method will revert to using the closing price on the day of trading resumption once the stock demonstrates active market trading characteristics [1] Group 2 - The company will comply with the "Enterprise Accounting Standards," relevant regulations from the China Securities Regulatory Commission, and the valuation agreements in the fund contracts for the valuation of investment products [1] - Investors are advised to pay attention to the valuation updates [1]
公募基金周报:沪深市场主要指数估值上调,资金延续净流入债券类ETF-20250609
BOHAI SECURITIES· 2025-06-09 12:08
Market Overview - The valuation of major indices in the domestic market has been adjusted upwards, with the historical percentile of the price-to-earnings (P/E) ratio for the Shanghai Composite Index and CSI 300 increasing by 3.1 percentage points and 2.8 percentage points respectively, reaching 62.2% and 54.2% [1][23] - Among the 31 first-level industries in the Shenwan classification, 25 industries saw an increase, with the top five performing sectors being communication, non-ferrous metals, electronics, comprehensive, and computers [1][12] Public Fund Market - The public REITs market has surpassed a market capitalization of 200 billion yuan for the first time, reaching 201.99 billion yuan, with the CSI REITs index rising over 13% this year [2][31] - Public funds have distributed nearly 100 billion yuan in dividends this year, marking a significant increase compared to previous years, with equity funds showing a fourfold increase in dividend amounts [2][32] - The average net value of equity funds increased by 1.93% last week, while mixed bond funds rose by 0.40%, with a positive return ratio of 98.30% [2][33] ETF Market - The overall net inflow into the ETF market was 7.322 billion yuan, with bond ETFs leading the inflow due to risk-averse sentiment, while stock ETFs experienced a net outflow of 3.694 billion yuan [3][43] - The average daily trading volume in the ETF market reached 211.89 billion yuan, with a turnover rate of 7.64% [3][43] - The ETF market exhibited characteristics of "broad-based outflow and industry differentiation," with technology and low-volatility dividend themes attracting significant capital, while the sci-tech and financial sectors faced adjustment pressures [3][44] Fund Issuance - A total of 36 new funds were issued last week, a decrease of 2 from the previous week, with 40 new funds established, an increase of 10 [4][52] - The total amount raised by new funds reached 31.013 billion yuan, an increase of 12.026 billion yuan from the previous week [4][52]
浦银安盛CFETS0-5年期央企债指A,浦银安盛CFETS0-5年期央企债指C: 浦银安盛CFETS0-5年期央企债券指数发起式证券投资基金2024年年度报告
Zheng Quan Zhi Xing· 2025-03-31 06:05
Group 1 - The fund is named "浦银安盛 CFETS 0-5 Year Central Enterprise Bond Index Fund" and is managed by浦银安盛基金管理有限公司 with 南京银行股份有限公司 as the custodian [2][4][12] - The fund aims to achieve total returns similar to the underlying index before fees, using a passive index investment strategy and sampling replication method [2][5] - The fund's performance benchmark is defined as the CFETS 0-5 Year Central Enterprise Bond Index return multiplied by 95% plus the after-tax bank demand deposit rate multiplied by 5% [2][5] Group 2 - As of the end of the reporting period, the total fund shares amounted to 988,582,456.51 [2][4] - The fund reported a net profit of 45,585,088.0 for the period, with a net value growth rate of 4.24% for the past year [6][12] - The fund's annual profit distribution included a cash distribution of 0.6500 per 10 shares for Class A and 0.6000 for Class C [12][12] Group 3 - The fund management company,浦银安盛基金管理有限公司, was established in August 2007 and is primarily engaged in fund raising, sales, asset management, and other licensed activities [12][13] - The company manages a total of 107 funds, including various types of equity and bond funds [13][14] - The fund management team includes experienced professionals with backgrounds in finance and investment management [19][21]