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大曝光!这些基金“擒牛”
天天基金网· 2025-10-25 06:27
Core Viewpoints - The current bull market in A-shares is likely to continue, with market valuations remaining reasonable despite significant gains this year [3][7][10] Group 1: Fund Performance and Holdings - The performance of several funds, including融通产业趋势, 平安核心优势, and 万家趋势领先, has been notable, with year-to-date net value increases of 93.69%, 88.95%, and nearly 80% respectively [5][10][12] - Key holdings in融通产业趋势 include海博思创, 工业富联, and 中际旭创, with significant year-to-date price increases of 313.46%, 218.92%, and 301.99% respectively [5][6] - 平安核心优势 has focused on innovative pharmaceuticals, with major holdings like 康方生物 and 信达生物 showing year-to-date gains of 89% and 133.74% [8][10] Group 2: Investment Trends and Strategies - Investment managers are optimistic about sectors such as artificial intelligence, energy storage, and the internet, indicating a shift from pessimistic to reasonable valuations in the tech growth sector [4][7] - 万家趋势领先's strategy for the fourth quarter includes focusing on industrial non-ferrous metals and precious metals, anticipating price increases due to global economic shifts and supply chain restructuring [12][13] - The report highlights a trend towards innovative drugs entering the performance release cycle, with a significant portion of these companies expected to achieve profitability this year [10]
华尔街量化基金遭遇“十月寒流”,动量策略退潮致多家巨头亏损
智通财经网· 2025-10-25 06:16
智通财经APP获悉,在华尔街市场表面平静的背后,一些重量级专业投资者正经历动荡。 本月,因此前拥挤且盈利丰厚的头寸出现反转,量化基金陷入亏损。本周三的交易日更是暴露了过度动 量交易的风险——此前表现亮眼的黄金、科技股与加密货币价格同时暴跌。 野村证券跨资产策略董事总经理查理·麦克埃利戈特(Charlie McElligott)在报告中写道,10月初部分投机 性标的上涨、近期却遭抛售的"过山车"行情,"具备了又一次'量化地震'的特征"。 "当前宏观经济变量与个股对走势反转的敏感度似乎在上升——我们在黄金和原油市场已看到这种情 况,"英仕曼集团(Man Group)外部阿尔法首席投资官亚当·辛格尔顿(Adam Singleton)表示,"目前市场正 试图为宏观形势寻找合理叙事。" 在股票市场,这种突然轮动在动量策略中表现最为明显——该策略做多近期涨幅大的股票,同时做空近 期跌幅大的股票。高盛股票销售专员约安尼斯·布莱科斯(Ioannis Blekos)本周指出,由于对冲基金持续减 持历史高位的动量因子敞口,动量策略的亏损可能持续。 量化对冲基金采用多种交易信号,其中许多属于专有信号。但沃尔夫研究(Wolfe Re ...
14位基金经理晋级"百亿操盘手"!第一名今年收益超192%!
私募排排网· 2025-10-25 03:28
Core Viewpoint - The current structural market trend in A-shares continues, with Goldman Sachs indicating that a "slow bull market in Chinese stocks is forming" [4] Group 1: Fund Manager Growth - As of October 22, 2025, 14 new fund managers have reached a management scale of over 10 billion yuan, primarily from 10 public fund institutions [4] - Notable growth includes Ren Jie from Yongying Fund, whose management scale surged from 1.166 billion yuan to 12.878 billion yuan, marking an increase of 1004% [4][5] - Other fund managers such as Gao Zhe and Li Xiaohua also achieved significant growth, with management scales doubling [4][5] Group 2: Performance of New Billionaire Fund Managers - The rapid growth in management scale is often accompanied by outstanding performance, with Ren Jie achieving a return of 192.05% this year [6] - Fund managers focusing on index products, such as Gao Zhe and Li Xiaohua, have also reported returns exceeding 50% over the past year [6] Group 3: Active vs. Index Funds - The article distinguishes between active equity funds and index funds, highlighting that index funds tend to perform well in a rising market due to their transparent holdings and high liquidity [9] - Active equity funds rely on the fund manager's stock selection and timing abilities, potentially offering greater returns in a market with sector rotations [9][10] Group 4: Top Performing Active Funds - Among active equity products, Yongying Technology Smart Mixed A Fund has achieved a return of 194.96% this year, significantly outperforming its benchmark of 38.05% [11] - Other notable funds include Huafu Yongxin Flexible Allocation Mixed A, which returned 81.82% against a benchmark of 9.04% [11] Group 5: Index Fund Performance - Index funds have also shown strong performance, particularly in sectors like gold and artificial intelligence, with the Gold Stock ETF returning 87.70% this year [13] - A total of 64 index funds have over 50% of their assets in stocks, with 6 funds achieving returns above 50% this year [13]
机构风向标 | 融捷股份(002192)2025年三季度已披露持仓机构仅7家
Xin Lang Cai Jing· 2025-10-25 03:00
Group 1 - Rongjie Co., Ltd. (002192.SZ) released its Q3 2025 report on October 25, 2025, indicating that as of October 24, 2025, seven institutional investors held a total of 73.3648 million shares, accounting for 28.25% of the total share capital [1] - The institutional investors include Rongjie Investment Holding Group Co., Ltd., Hong Kong Central Clearing Limited, and several funds from China Merchants Bank and Industrial and Commercial Bank of China, with the total institutional holding ratio increasing by 0.03 percentage points compared to the previous quarter [1] Group 2 - In the public fund sector, there was an increase in holdings from one public fund, Tai Xin Development Theme Mixed Fund, while four public funds, including Guangfa CSI 1000 ETF and Southern CSI 1000 ETF, reported a decrease in holdings [2] - A total of 54 public funds did not disclose their holdings compared to the previous quarter, including Chang'an Xinxin Mixed A and other ETFs [2] - Regarding foreign investment, one foreign fund, Hong Kong Central Clearing Limited, increased its holdings by 0.65% compared to the previous period [2]
机构风向标 | 奥比中光(688322)2025年三季度已披露持仓机构仅8家
Xin Lang Cai Jing· 2025-10-25 03:00
Group 1 - The core viewpoint of the news is that Orbbec (688322.SH) has reported a decrease in institutional ownership in its third-quarter report for 2025, with a total of 8 institutional investors holding 81.58 million shares, representing 20.34% of the total share capital, a decline of 0.40 percentage points from the previous quarter [1] Group 2 - In the public fund sector, there are 2 funds that increased their holdings compared to the previous period, specifically the E Fund National Robot Industry ETF and the Huaxia CSI Robot ETF, with an increase in holding ratio of 0.99% [2] - There is 1 public fund that reduced its holdings, namely the Great Wall Emerging Industry Mixed A, with a slight decrease in holding ratio [2] - A total of 309 public funds did not disclose their holdings this quarter, including funds such as Xingquan He Run Mixed A, Xingquan He Yi Mixed A, Yongying Advanced Manufacturing Selected Mixed Initiation A, Bosera Sci-Tech Board Artificial Intelligence ETF, and Southern CSI 1000 ETF [2]
机构风向标 | 清水源(300437)2025年三季度已披露持仓机构仅4家
Xin Lang Cai Jing· 2025-10-25 02:58
Group 1 - The core viewpoint of the articles indicates that Qingshuiyuan (300437.SZ) has seen a slight increase in institutional investor holdings, with a total of 4 institutions holding 4.2806 million shares, representing 1.70% of the total share capital, which is an increase of 0.02 percentage points from the previous quarter [1] - The newly disclosed public funds in this period include two funds: Jinyuan Shun'an Flexible Allocation Mixed Fund and CITIC Prudential Multi-Strategy Flexible Allocation Mixed Fund (LOF), while 10 public funds were not disclosed compared to the previous quarter [1] - In terms of foreign investment, one new foreign institution, J.P. Morgan Securities PLC, has been disclosed, while several others were not disclosed compared to the previous quarter, including CITIC Securities Asset Management (Hong Kong) and CICCFT10(Q) [2]
华宝基金任命欧江洪为副总经理
Xin Lang Cai Jing· 2025-10-25 02:44
10月25日,华宝基金管理有限公司发布高管变更公告:2025年10月24日,任命欧江洪为公司副总经理。 公告履历显示,欧江洪曾在宝钢集团、宝钢股份任职。历任华宝投资董事会秘书、总经理助理兼行政人 事部总经理、党委组织部部长、党委办公室主任,华宝基金副总经理兼董事会秘书,党委副书记、纪委 书记、工会主席等。 ...
机构风向标 | 中捷精工(301072)2025年三季度已披露持仓机构仅6家
Xin Lang Cai Jing· 2025-10-25 02:08
Group 1 - The core viewpoint of the news is the disclosure of institutional and foreign investment holdings in Zhongjie Precision Engineering (301072.SZ) as of October 24, 2025, highlighting a slight decrease in institutional ownership compared to the previous quarter [1] Group 2 - As of October 24, 2025, six institutional investors hold a total of 24.76 million shares of Zhongjie Precision Engineering, representing 23.57% of the total share capital, with a decrease of 0.11 percentage points from the previous quarter [1] - The institutional investors include Wuxi Puxian Investment Partnership, Wuxi Dongming Tianyu Investment Partnership, Wuxi Baoning Investment Partnership, Wuxi Xuantong Investment Partnership, Shanghai Qianying Investment Management Co., Ltd., and J.P. Morgan Securities PLC [1] - In the public fund sector, 32 public funds were disclosed this period, including notable funds such as Nuoan Multi-Strategy Mixed A and Guojin Quantitative Multi-Factor A [1] Group 3 - From the foreign investment perspective, one new foreign institution, J.P. Morgan Securities PLC, has disclosed its holdings this quarter [2]
机构风向标 | 盛弘股份(300693)2025年三季度已披露前十大机构持股比例合计下跌2.69个百分点
Xin Lang Cai Jing· 2025-10-25 02:06
Summary of Key Points Core Viewpoint - Shenghong Co., Ltd. (300693.SZ) reported a decrease in institutional holdings in its third-quarter report for 2025, indicating a potential shift in investor sentiment towards the company [1][2]. Institutional Holdings - As of October 24, 2025, seven institutional investors disclosed holdings in Shenghong Co., totaling 34.06 million shares, which represents 10.89% of the company's total share capital [1]. - The institutional holding percentage decreased by 2.69 percentage points compared to the previous quarter [1]. Public Fund Holdings - One public fund, the Southern CSI 1000 ETF, reported a slight decrease in holdings compared to the previous quarter [1]. - A total of 213 public funds did not disclose holdings this quarter, including notable funds such as Bosera Theme Industry Mixed Fund and Huaxia CSI 1000 ETF [1]. Social Security Fund Holdings - One new social security fund disclosed holdings in Shenghong Co., which is the E Fund Management Co., Ltd. - Social Security Fund 17042 Combination [2]. Foreign Investment - One foreign fund, Hong Kong Central Clearing Limited, reported a decrease in holdings, with a reduction percentage of 2.07% compared to the previous quarter [2].
基金分红:海富通利率债债券基金10月30日分红
Sou Hu Cai Jing· 2025-10-25 01:45
本次分红对象为权益登记日在注册登记机构登记在册的本基金全体份额持有人。,权益登记日为10月28 日,现金红利发放日为10月30日。选择红利再投资方式的投资者,注册登记机构将以2025年10月28日除 息后的基金份额净值为基准计算其再投资所得的基金份额,并将于2025年10月29日直接计入其基金账 户,投资者自2025年10月30日起可以查询、赎回再投资所得的基金份额。根据相关法律法规的规定,基 金向投资者分配的基金收益,暂不征收所得税。本基金本次分红免收分红手续费和红利再投资费用。 以上内容为证券之星据公开信息整理,由AI算法生成(网信算备310104345710301240019号),不构成 投资建议。 证券之星消息,10月25日发布《海富通利率债债券型证券投资基金第三次分红公告》。本次分红为2025 年度第1次分红。公告显示,本次分红的收益分配基准日为10月10日,详细分红方案如下: | 分级基金简称 | 代码 | 基准日基金净值 | | 分红方案 | | | --- | --- | --- | --- | --- | --- | | | | (元) | | (元/10份) | | | 海富通利率信信券A ...