Workflow
基金
icon
Search documents
2025外滩年会在上海开幕 探讨新秩序新科技带来的变局
Xin Hua Cai Jing· 2025-10-23 13:57
Core Insights - The 2025 Bund Summit, themed "Embracing Change: New Order, New Technology," aims to discuss economic, financial, and governance issues amid global order restructuring and technological revolution [1][2] - The summit features 21 roundtable discussions and 11 closed-door meetings, emphasizing internationalization and professionalism [1] - Key topics include green transformation, international order changes, and artificial intelligence (AI) [1][2] Group 1 - The summit is attended by 121 financial leaders and scholars from 21 countries and regions, highlighting its global significance [1] - Jean-Claude Trichet emphasized the importance of cautious evaluation of AI's benefits and risks, warning against the "Solow Paradox" where technological investment does not immediately translate into productivity gains [2] - Yang Bin described AI as a "cognitive industrial revolution," reshaping human production and lifestyle, and highlighted the potential disparities between entities based on AI empowerment levels [2] Group 2 - The Bund Summit is rooted in Shanghai and aims to support national strategies and the development of Shanghai as an international financial center [3] - A special roundtable will focus on enhancing cross-border financial services in Shanghai, with contributions from government and financial institution experts [3] - The summit is organized by the China Financial Forty Forum and Tsinghua University, with support from various academic and financial institutions [4]
短期资金打理:螺丝钉银钉宝90天投顾组合
银行螺丝钉· 2025-10-23 13:56
Core Viewpoint - The 90-day investment advisory portfolio primarily selects short-term bond funds, which are expected to yield higher returns than money market funds in the long run while maintaining lower risk compared to long-term bonds [1][10][11]. Group 1: Investment Strategy - The portfolio aims to outperform money market fund returns with a maximum drawdown targeted between 1% to 2% [3]. - It focuses on high-safety investments, primarily in short-term bond funds and low-risk pure bond funds, with a significant portion of assets in interest rate bonds (such as government bonds) [3][13][15]. - The strategy allows for flexible investment, with no timing required for entry, suitable for funds that can be held for three months or more [4][17]. Group 2: Performance and Risk Management - The 90-day portfolio has outperformed the China Securities Money Market Fund Index since its inception, with a relatively small maximum drawdown [20]. - The investment strategy is designed for short-term funds that will not be needed for at least three months, providing a transitional option for funds originally intended for money market investments or stock investments [21]. - By selecting short-term pure bond funds, the strategy aims to achieve higher returns with minimal risk [23].
景顺长城衡益基金正在发行中
Zheng Quan Ri Bao Wang· 2025-10-23 13:42
展望后市,郭琳对权益市场保持相对积极的判断。在新产品运作中,她将继续保持均衡成长的策略以应 对结构性行情,重点关注游戏、传媒、消费电子、国产算力、医药、军工、储能等方向,港股方面则更 看好恒生科技为代表的科技消费龙头。 此外,景顺长城衡益还是一只发起式基金,基金管理人需用自有资金认购不低于1000万元的基金份额, 且持有期限不低于3年。这既体现了基金管理人对于策略和管理能力的信心,也能通过利益绑定增强投 资者的信心。 本报讯(记者昌校宇)今年以来,电子、通信、创新药和军工等成长板块轮番走强,赚钱效应明显。步入 四季度,部分前期热门板块出现调整,市场分歧和投资难度加大。尽管如此,成长风格仍是未来市场的 重要主线。具备均衡成长风格的选手被市场重点关注。在此背景下,景顺长城衡益基金正在火热发行 中,拟任基金经理郭琳正是一名均衡成长型选手。 作为景顺长城基金自主培养的新生代基金经理,郭琳研究经验较为丰富,在科技成长领域具备一定洞察 力,目前构建了以TMT为主,军工、医药、制造业和新消费等多成长行业为辅的能力圈。在投资方法 上,她倾向较为均衡的配置,不押注单一赛道,也不依赖行业轮动,同时结合赔率和胜率动态调整个股 的仓 ...
固收为“盾” 权益为“矛” 基金经理100系列访谈在沪开启
(原标题:固收为"盾" 权益为"矛" 基金经理100系列访谈在沪开启) 21世纪经济报道记者 余纪昕 上海报道 10月22日,由21世纪经济报道与点拾投资联合主办的"长期投资·价值投资——基金经理100系列高端访 谈"在上海启动。 第一期研讨会以"'固收+'策略的长期生命力"为主题,点拾投资创始人朱昂作为主持人,与多位资深固 收+基金经理展开对话,共同探讨如何在当前市场环境中平衡收益与风险、重塑"固收+"产品市场竞争 力等话题。 朱昂在开场中指出,大量资金涌入"固收+"产品基于两方面背景:一是存款利率走低之下,银行理财收 益难以满足需求,房产等资产吸引力下降;二是权益市场方面,不少投资者对高波动品种仍心存顾虑。 随着经济增速放缓和投资者风险偏好降低,低波动的"固收+"产品正成为越来越多人的选择。 南方财经全媒体集团编委、首席产品官王芳艳在活动开场致辞中表示,相较去年对权益市场的复杂情 绪,今年的"固收+"策略展现出较强的生命力与适应性。据南财理财产品数据库显示,其收益率表现突 出,正成为投资者从保守转向多元配置的重要选择。 她指出,"固收+"已不再是对传统固收投资的简单延伸,而是演进为融合宏观研判、多资产配置 ...
大消息!50亿,又爆了!
中国基金报· 2025-10-23 12:15
Core Viewpoint - The article highlights the rapid success of the Huatai-PineBridge Yingtai Stable 3-Month Holding Mixed FOF, which raised over 5.5 billion yuan in just one day, reflecting a growing interest in multi-asset allocation funds in a low-interest-rate environment [2][4][10]. Fund Performance and Characteristics - The Huatai-PineBridge Yingtai Stable 3-Month Holding Mixed FOF was launched on October 23, 2023, and completed its fundraising in one day, marking it as the fifth FOF product to achieve this feat in 2023 [2][4]. - The fund's total fundraising reached approximately 5.5 billion yuan, with China Merchants Bank serving as the main distributor and custodian [5][10]. - The fund employs a global allocation strategy, focusing on a scientifically balanced mix of low-correlation assets to capture opportunities in both domestic and international markets while aiming to balance returns and risks [7][10]. Market Trends - The public FOF market has seen a significant increase in activity, with 51 new FOF products launched in 2023, surpassing the total of 38 for the entire year of 2024, and raising a total of 44.83 billion yuan [10][14]. - The surge in FOF popularity is attributed to the push from large commercial banks and the increasing demand for diversified asset allocation strategies in a low-interest-rate environment [10][16]. Investment Strategy - The fund's investment strategy includes allocating 5% to 30% of its assets in equity-related assets such as stocks and equity funds, while maintaining a low volatility investment style [8]. - The bond allocation focuses on high-quality bond funds, emphasizing both domestic and international bond investment opportunities [8]. - The fund manager, Dou Xiaoman, has a decade of experience in the securities industry and has previously held positions in asset management [8]. Future Outlook - The introduction of new fund managers into the TREE Changying Plan by China Merchants Bank is expected to further enhance the scale and attractiveness of FOF products in the market [15].
大消息!50亿,又爆了!
Zhong Guo Ji Jin Bao· 2025-10-23 12:08
Core Insights - The newly launched Huatai-PB Yingtai Stable 3-Month Holding Mixed FOF has raised over 5.5 billion yuan in just one day, marking it as the fifth FOF product to achieve "one-day fundraising" this year [2][3][4]. Fundraising and Market Trends - The fundraising for Huatai-PB Yingtai Stable 3-Month Holding Mixed FOF was completed in one day, with approximately 5.5 billion yuan raised, primarily distributed through China Merchants Bank [3][5]. - The public FOF market has seen a resurgence, with 51 new FOF products launched this year, raising a total of 44.83 billion yuan, surpassing the total for both 2023 and 2024 [8][12]. Investment Strategy and Composition - The fund employs a global asset allocation strategy, aiming to balance returns and risks through a diversified portfolio of low-correlation assets [7]. - The fund's investment in equity assets, including stocks and equity funds, will range from 5% to 30% of total assets, maintaining a low volatility investment style [7]. - The fund manager, Dou Xiaoman, has 10 years of experience in the securities industry and 5 years in investment management [7]. Industry Context - The low interest rate environment has increased investor interest in multi-asset allocation strategies, as traditional bond investments yield lower returns [8][12]. - The TREE Changying Plan by China Merchants Bank is a key driver for the distribution of these FOF products, providing a comprehensive asset allocation solution [8][12].
创新与监管并行,港交所再迎加密重磅!亚洲首只SOL现货ETF即将上市
Hua Xia Shi Bao· 2025-10-23 11:55
本报(chinatimes.net.cn)记者赵奕 上海报道 根据华夏基金(香港)官网信息,由其发行的Solana(SOL)现货ETF即将于10月27日正式在港交所挂 牌。这不仅是香港虚拟资产市场内继比特币(BTC)、以太坊(ETH)之后获批的第三类加密货币现货 ETF,也是亚洲首个同类产品。 "亚洲首只SOL现货ETF即将在港交所上市标志着香港在虚拟资产领域的进一步创新。"薪火私募投资基 金管理有限公司总经理翟丹向《华夏时报》记者表示,SOL ETF的上市将为机构投资者提供一个合规且 便捷的渠道参与加密货币市场,从而吸引更多资金流入。此外,这一产品将进一步降低个人投资者的参 与门槛,通过熟悉的证券账户即可进行交易,增强了市场的流动性。从全球视角来看,香港的这一突破 也为其他亚洲市场提供了借鉴,推动了加密货币在传统金融体系中的接受度。 OSL负责交易与托管 2024年,全球首个Solana现货ETF在巴西证券交易所上市,让巴西成为第一个正式推出该代币ETF交易 的国家。今年4月,Solana现货ETF也在加拿大获批上市。而本次由华夏基金(香港)推出的基金则成为 亚洲首个SolanaETF。 "从制度和市场的视 ...
海外资管机构月报:9月美国新发行超70只ETF,今年以来ETF资金流入规模已超过1万亿元-20251023
Guoxin Securities· 2025-10-23 11:19
========= - In September 2025, the median performance of US equity funds was 1.81%, international equity funds was 2.44%, bond funds was 0.93%, and asset allocation funds was 2.25% [1][14][16] - Among US equity funds, large-cap growth funds had the best median return of 4.09%, while small-cap funds had the lowest median return of 0.57% [15] - International equity funds investing in the Greater China region had the best median return of 7.38% in September 2025 [15] - Bond funds investing in US municipal bonds had a median return of 2.34% in September 2025, and global bond funds had a median return of 6.38% year-to-date [17] - Asset allocation funds categorized by stock-bond allocation showed that target-date funds had the highest median return of 2.61% in September 2025, while conservative allocation funds had the lowest median return of 1.58% [17] - The total size of US mutual funds reached $20.2 trillion by the end of 2024, while ETFs reached $10.3 trillion [12] - In September 2025, active management funds had a net inflow of $7.9 billion, while passive funds had a net inflow of $78.5 billion [2][27] - The top 10 asset management firms in the US mutual fund market mostly experienced net outflows in September 2025, with Vanguard and Capital Group having the largest outflows of $19.9 billion and $7.9 billion, respectively [3][36] - The top 10 asset management firms in the US ETF market all had net inflows in September 2025, with iShares and Vanguard having the largest inflows of $49.7 billion and $30.7 billion, respectively [3][36] - In September 2025, the US market saw the launch of 78 new funds, including 71 ETFs and 7 open-end funds [4][48] - The top 10 open-end funds with the highest net inflows in September 2025 included 4 equity funds and 6 bond funds, with Vanguard Total Bond Market II Index Fund having the highest inflow of $5.8 billion [45] - The top 10 ETFs with the highest net inflows in September 2025 included 8 equity funds and 2 commodity funds, with iShares Core S&P 500 ETF having the highest inflow of $18.7 billion [46] =========
华夏SOL(03460)将于2025年10月27日在港交所上市交易
Zhi Tong Cai Jing· 2025-10-23 11:08
Core Viewpoint - The Hong Kong Central Clearing and Settlement System announced that the Huaxia Solana ETF is expected to be listed and traded on the Hong Kong Stock Exchange on October 27, 2025, marking Hong Kong as the first market in the Asia-Pacific region to issue a Solana ETF [1][2]. Group 1 - The Huaxia Solana ETF will have three trading counters: Hong Kong Dollar (HKD), Renminbi (RMB), and US Dollar (USD) [2]. - The stock codes for the ETF are as follows: HKD counter (03460), RMB counter (83460), and USD counter (9460) [2]. - The subscription for Huaxia SOL (03460) opened from October 22 to October 23, with a minimum subscription of 100 fund units per hand [2].
工银瑞信赵志源:用多元配置FOF做理财替代
点拾投资· 2025-10-23 11:01
Core Viewpoint - The article emphasizes that diversified asset allocation and refined fund selection are key to building a long-term viable FOF (Fund of Funds) portfolio [2][6]. Asset Allocation and Fund Selection - Increasingly, investors are recognizing diversified asset allocation in FOFs as a superior "fixed income plus" strategy, offering better risk-return ratios compared to traditional stock-bond combinations [2]. - Zhao Zhiyuan, General Manager of ICBC Credit Suisse FOF Investment Department, highlights that each FOF has its own risk-return objectives, necessitating tailored asset allocation plans [3][10]. - The strategic asset allocation for the ICBC Value Steady 6-Month Holding Mixed (FOF) product is set at 80% bonds and 20% risk assets, with further diversification within the risk assets into A-share funds, low-volatility dividends, overseas US stocks, and commodities like gold [4][15]. Dynamic Management - Zhao emphasizes the importance of dynamic management based on market changes, citing an example where adjustments were made following tariff policy changes that led to market fluctuations [4][11]. Fund Selection Process - The fund selection process focuses on distinguishing between skill and luck in investment performance, utilizing quantitative analysis and qualitative research to identify stable fund managers [5][18]. - The internal culture at ICBC Credit Suisse promotes trust and sharing among research teams, enhancing the decision-making process [5][20]. FOF Investment Framework - The FOF investment framework is built on managing uncertainty through diversified asset allocation, aiming to create resilient portfolios that can adapt to various market conditions [10][9]. - The FOF team consists of 12 members with diverse backgrounds, emphasizing collaboration and knowledge sharing to enhance investment strategies [21][20]. Future Outlook - The article discusses two main growth opportunities for FOF products: personal pension Y shares and wealth management as a substitute for traditional financial products [25][26]. - Personal pension funds are highlighted for their potential to allocate higher equity assets, providing better long-term returns as the domestic capital market develops [27]. - The article concludes with a market outlook, suggesting that while short-term volatility may persist, a medium-term upward trend is anticipated, driven by policy support and corporate earnings recovery [30][34].