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机构风向标 | 美农生物(301156)2025年三季度已披露持仓机构仅4家
Xin Lang Cai Jing· 2025-10-28 02:43
Core Insights - Meino Bio (301156.SZ) released its Q3 2025 report on October 28, 2025, indicating a total of 4 institutional investors holding shares, amounting to 11.87 million shares, which represents 8.43% of the total share capital [1] Institutional Holdings - The total institutional holding percentage decreased by 0.17 percentage points compared to the previous quarter [1] - The institutional investors include Shanghai Quanyu Zhihhe Management Consulting Partnership, Zheshang Bank - Guotai Zhongzheng Livestock Breeding ETF, China Construction Bank - Nuoan Multi-Strategy Mixed Fund, and China Minsheng Bank - Jianxin Flexible Allocation Mixed Fund [1] Public Fund Activity - One public fund increased its holdings compared to the previous period, specifically the Guotai Zhongzheng Livestock Breeding ETF, with an increase of 0.24% [1] - Two new public funds disclosed their holdings this quarter, namely Nuoan Multi-Strategy Mixed A and Jianxin Flexible Allocation Mixed A [1] - A total of 15 public funds did not disclose their holdings this quarter, including notable funds such as the China Merchants Zhongzheng Livestock Breeding ETF and Ping An Zhongzheng Livestock Breeding ETF [1]
机构风向标 | 博汇股份(300839)2025年三季度已披露前十大机构持股比例合计下跌7.60个百分点
Xin Lang Cai Jing· 2025-10-28 02:35
Core Viewpoint - 博汇股份 (300839.SZ) reported its Q3 2025 results, highlighting a significant change in institutional investor holdings and public fund disclosures [1] Group 1: Institutional Holdings - As of October 27, 2025, three institutional investors disclosed holdings in 博汇股份, totaling 132 million shares, which represents 44.80% of the company's total share capital [1] - The institutional holding percentage decreased by 7.60 percentage points compared to the previous quarter [1] Group 2: Public Fund Disclosures - One new public fund was disclosed during this period, namely 华夏双债债券A [1] - Fourteen public funds were not disclosed in this quarter, including notable funds such as 华商高端装备制造股票A and 诺德策略精选 [1]
机构风向标 | 浙江力诺(300838)2025年三季度已披露持仓机构仅4家
Xin Lang Cai Jing· 2025-10-28 02:15
Group 1 - Zhejiang Lino (300838.SZ) released its Q3 2025 report on October 28, 2025, indicating that as of October 27, 2025, four institutional investors disclosed holding a total of 4.9783 million A-shares, accounting for 3.61% of the total share capital [1] - The institutional holding ratio decreased by 0.92 percentage points compared to the previous quarter [1] - Among public funds, one fund, CITIC Prudential Multi-Strategy Mixed (LOF) A, increased its holdings by 0.15% compared to the previous period [1] Group 2 - A total of 31 public funds that did not disclose their holdings in the current period were noted, including notable funds such as Nuon Multi-Strategy Mixed A and Jianxin Flexible Allocation Mixed A [1] - In terms of foreign investment, Barclays Bank PLC was noted as an external institution that did not disclose its holdings in the current period [2]
机构风向标 | 严牌股份(301081)2025年三季度已披露前十大机构持股比例合计下跌1.87个百分点
Xin Lang Cai Jing· 2025-10-28 01:40
Core Insights - Yanpai Co., Ltd. (301081.SZ) released its Q3 2025 report on October 28, 2025, indicating that institutional investors hold a total of 125 million shares, accounting for 54.97% of the company's total equity [1] Institutional Holdings - As of October 27, 2025, six institutional investors disclosed their holdings in Yanpai Co., Ltd., with a combined shareholding of 125 million shares, representing 54.97% of the total equity [1] - The institutional investors include Tian Tai Southwest Investment Management Co., Ltd., Tian Tai Youfeng Investment Consulting Management Co., Ltd., Tian Tai Fengxi Investment Partnership (Limited Partnership), Hangzhou Jiuhu Investment Management Partnership (Limited Partnership), Zhejiang Yinlun Machinery Co., Ltd., and a collective asset management plan from China Merchants Securities Asset Management [1] - Compared to the previous quarter, the total institutional holding percentage decreased by 1.87 percentage points [1] Public Fund Holdings - In this reporting period, 35 public funds were not disclosed compared to the previous quarter, including notable funds such as CITIC Prudential Multi-Strategy Mixed (LOF) A, Nuon Multi-Strategy Mixed A, and Huaxia CSI 500 Index Enhanced A [1]
机构风向标 | 金钟股份(301133)2025年三季度已披露持仓机构仅8家
Xin Lang Cai Jing· 2025-10-28 01:25
Core Insights - Jinzhong Co., Ltd. (301133.SZ) reported its Q3 2025 results, revealing that as of October 27, 2025, eight institutional investors held a total of 62.8375 million A-shares, accounting for 58.93% of the company's total share capital, with an increase of 3.37 percentage points from the previous quarter [1] Institutional Holdings - The institutional investors include Guangzhou Sicheng Rui Enterprise Management Co., Ltd., UBS AG, Huatai Securities Co., Ltd., Zhuhai Sipure Investment Partnership (Limited Partnership), Zhuhai Siput Investment Partnership (Limited Partnership), Shenzhen Chuangfu Zhaoye Financial Management Co., Ltd. - Chuangfu Zhaoye Ruifeng Growth Private Securities Investment Fund, Société Générale, and Morgan Stanley & Co. International PLC [1] - The total institutional holding ratio increased by 3.37 percentage points compared to the previous quarter [1] Public Fund Disclosures - In this period, 38 public funds were disclosed, including notable funds such as Nuon An Duo Strategy Mixed A, Jianxin Flexible Allocation Mixed A, Guojin Quantitative Multi-Factor A, CITIC Construction Investment Rotation Mixed A, and Guojin Quantitative Selection A [1] Foreign Investment - UBS AG is the only new foreign institution disclosed in this quarter compared to the previous quarter [2]
机构风向标 | 浙江力诺(300838)2025年二季度已披露持仓机构仅5家
Xin Lang Cai Jing· 2025-08-28 10:33
Group 1 - Zhejiang Lino (300838.SZ) released its semi-annual report for 2025 on August 28, 2025, indicating that as of August 27, 2025, five institutional investors disclosed holding shares, totaling 5.4705 million shares, which accounts for 3.96% of the total share capital [1] - The institutional investors include Ruian Nord Investment Partnership (Limited Partnership), Bank of China - Dachen Jingheng Mixed Securities Investment Fund, BARCLAYS BANK PLC, China Construction Bank - Nu'an Multi-Strategy Equity Fund, and Jianxin Flexible Allocation Mixed A, with a total institutional holding ratio increase of 1.01 percentage points compared to the previous quarter [1] - In the public fund sector, one public fund, Nu'an Multi-Strategy Mixed A, increased its holdings by 0.33% compared to the previous period, while a new public fund, Jianxin Flexible Allocation Mixed A, was disclosed in this period [1] Group 2 - In terms of foreign investment, one new foreign institution, BARCLAYS BANK PLC, disclosed its holdings in this period compared to the previous quarter [1]
公告速递:建信灵活配置混合基金基金暂停大额申购、大额转换转入、定期定额投资
Sou Hu Cai Jing· 2025-08-18 01:40
Group 1 - The core point of the announcement is that Jianxin Fund Management Co., Ltd. will suspend large subscriptions, large conversions, and regular fixed investments for the Jianxin Flexible Allocation Mixed Securities Investment Fund starting from August 20, 2025, to protect investors' interests [1] - The maximum subscription and conversion amount is set at 10 million yuan for the fund [1] - The specific details for the sub-funds are provided, indicating that both Jianxin Flexible Allocation Mixed A (code: 000270) and Jianxin Flexible Allocation Mixed C (code: 020726) will have the same limits for subscriptions, conversions, and regular investments [1] Group 2 - The announcement includes a table summarizing the limits for large subscriptions, conversions, and regular investments for the sub-funds, all capped at 10 million yuan [1] - The decision is based on the company's strategy to safeguard investor interests amid market conditions [1]
机构风向标 | 康平科技(300907)2024年四季度已披露前十大机构累计持仓占比65.75%
Xin Lang Cai Jing· 2025-04-19 01:20
Core Insights - 康平科技 released its 2024 annual report on April 19, 2025, indicating significant institutional ownership and changes in investor composition [1] Institutional Ownership - As of April 18, 2025, 41 institutional investors disclosed holding 康平科技 A-shares, totaling 63.4282 million shares, which represents 66.07% of the total share capital [1] - The top ten institutional investors collectively hold 65.75% of the shares, with a slight decrease of 0.23 percentage points compared to the previous quarter [1] Public Fund Activity - In the current period, 37 new public funds were disclosed, including 招商量化精选股票发起式A and 建信中证1000指数增强A [1] - Two public funds were not disclosed in this period, namely 信澳星亮智选混合A and 信澳星煜智选混合A [1] Foreign Investment - Two new foreign institutions disclosed their holdings this period, including 香港康惠国际集团有限公司 and MORGAN STANLEY & CO. INTERNATIONAL PLC. [2] - 香港康惠国际集团有限公司 was not disclosed in the previous quarter [2]