港股通成长策略

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中证港股通成长策略指数报1265.42点,前十大权重包含美团-W等
Jin Rong Jie· 2025-06-24 10:08
从中证港股通成长策略指数持仓样本的行业来看,可选消费占比38.96%、信息技术占比14.11%、金融 占比13.61%、通信服务占比12.92%、医药卫生占比7.60%、主要消费占比3.09%、原材料占比2.69%、工 业占比2.64%、房地产占比1.82%、公用事业占比1.68%、能源占比0.89%。 从中证港股通成长策略指数持仓的市场板块来看,香港证券交易所占比100.00%。 金融界6月24日消息,上证指数低开高走,中证港股通成长策略指数 (港股通成长策略,932152)报 1265.42点。 资料显示,指数样本每季度调整一次,样本调整实施时间分别为每年3月、6月、9月和12月的第二个星 期五的下一交易日。权重因子随样本定期调整而调整,调整时间与指数样本定期调整实施时间相同。在 下一个定期调整日前,权重因子一般固定不变。特殊情况下将对指数进行临时调整。当样本退市时,将 其从指数样本中剔除。样本公司发生收购、合并、分拆等情形的处理,参照计算与维护细则处理。当港 股通证券范围发生变动导致样本不再满足互联互通资格时,指数将相应调整。 数据统计显示,中证港股通成长策略指数近一个月下跌0.81%,近三个月下跌1. ...
中证港股通成长策略指数报1253.67点,前十大权重包含泡泡玛特等
Jin Rong Jie· 2025-05-20 09:36
金融界5月20日消息,上证指数上涨0.38%,中证港股通成长策略指数 (港股通成长策略,932152)报 1253.67点。 数据统计显示,中证港股通成长策略指数近一个月上涨10.06%,近三个月上涨0.64%,年至今上涨 20.87%。 从中证港股通成长策略指数持仓样本的行业来看,可选消费占比40.48%、信息技术占比15.30%、通信 服务占比13.25%、医药卫生占比8.18%、金融占比7.28%、工业占比3.42%、原材料占比2.94%、主要消 费占比2.92%、能源占比2.45%、公用事业占比2.12%、房地产占比1.65%。 资料显示,指数样本每季度调整一次,样本调整实施时间分别为每年3月、6月、9月和12月的第二个星 期五的下一交易日。权重因子随样本定期调整而调整,调整时间与指数样本定期调整实施时间相同。在 下一个定期调整日前,权重因子一般固定不变。特殊情况下将对指数进行临时调整。当样本退市时,将 其从指数样本中剔除。样本公司发生收购、合并、分拆等情形的处理,参照计算与维护细则处理。当港 股通证券范围发生变动导致样本不再满足互联互通资格时,指数将相应调整。 本文源自:金融界 作者:行情君 据了解 ...
中证港股通成长策略指数报1267.76点,前十大权重包含美团-W等
Jin Rong Jie· 2025-05-15 09:38
Core Viewpoint - The China Securities Index Growth Strategy Index has shown significant growth, with a year-to-date increase of 22.23% and a recent one-month increase of 9.41% [1][2] Group 1: Index Performance - The China Securities Index Growth Strategy Index reported a value of 1267.76 points [1] - The index has increased by 9.41% over the past month, 4.01% over the past three months, and 22.23% year-to-date [1] Group 2: Index Composition - The index is composed of liquid securities with growth characteristics, weighted by a combination of growth probability and free float market capitalization [1] - The top ten holdings in the index include Tencent Holdings (10.36%), Alibaba-W (9.86%), Xiaomi Group-W (9.68%), Meituan-W (8.11%), BYD Company (6.15%), Hong Kong Stock Exchange (5.7%), BeiGene (2.02%), Techtronic Industries (2.0%), Li Auto-W (1.97%), and Pop Mart International (1.89%) [1] Group 3: Sector Allocation - The index is fully composed of securities from the Hong Kong Stock Exchange [2] - Sector allocations include Consumer Discretionary (41.09%), Information Technology (14.82%), Communication Services (13.43%), Healthcare (7.97%), Financials (7.23%), Industrials (3.39%), Consumer Staples (2.93%), Materials (2.92%), Energy (2.44%), Utilities (2.13%), and Real Estate (1.65%) [2] Group 4: Index Adjustment Mechanism - The index samples are adjusted quarterly, with adjustments occurring in March, June, September, and December [2] - Weight factors are generally fixed until the next scheduled adjustment, with special circumstances allowing for temporary adjustments [2]