华富恒盛纯债债券型证券投资基金

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华富恒盛纯债债券型证券投资基金2025年第2季度报告
Zheng Quan Zhi Xing· 2025-07-12 02:32
Core Viewpoint - The report provides an overview of the performance and management of the Huafu Hengsheng Pure Bond Fund for the second quarter of 2025, highlighting its investment strategy, financial indicators, and net asset value performance. Fund Product Overview - Fund Name: Huafu Hengsheng Pure Bond Fund - Fund Code: 006405 - Fund Type: Contractual open-end fund - Total Fund Shares at Period End: 1,514,633,871.41 shares - Investment Objective: To pursue stable returns and the steady appreciation of fund assets while strictly controlling investment risks [3][4]. - Investment Strategy: The fund primarily invests in bonds, maintaining a long-term balanced allocation among major asset classes, and adjusts asset allocation within a certain range based on macroeconomic conditions and market sentiment [3][4]. - Performance Benchmark: The fund's performance is compared against the China Bond Index [3]. Key Financial Indicators and Fund Net Value Performance - For the period from April 1, 2025, to June 30, 2025, the net value growth rates for different share classes are as follows: - Class A: 1.47% (Benchmark: 1.95%) [12] - Class C: 1.42% (Benchmark: 1.95%) [12] - Class E: 1.43% (Benchmark: 1.95%) [12] - The cumulative net value for Class A is 1.2240 yuan, Class C is 1.1712 yuan, and Class E is 1.1697 yuan at the end of the reporting period [12]. Investment Portfolio Report - The fund's total assets are primarily composed of bonds, with a total value of approximately 1,850,270,324.47 yuan, representing 99.95% of the fund's total assets [13]. - The fund holds no stocks or asset-backed securities at the end of the reporting period [13][14]. Share Changes - At the beginning of the reporting period, the total shares for each class were: - Class A: 133,771,035.87 shares - Class C: 25,602,918.48 shares - Class E: 29,756,518.34 shares - During the reporting period, the total subscription and redemption amounts were: - Class A: Subscriptions of 1,594,374,456.93 shares, Redemptions of 332,713,716.18 shares - Class C: Subscriptions of 13,061,066.41 shares, Redemptions of 10,798,504.13 shares - Class E: Subscriptions of 125,765,938.38 shares, Redemptions of 64,185,842.69 shares - The total shares at the end of the reporting period were: - Class A: 1,395,431,776.62 shares - Class C: 27,865,480.76 shares - Class E: 91,336,614.03 shares [6][8].