大成一带一路灵活配置混合A
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大成一带一路灵活配置混合A:2025年上半年利润372.43万元 净值增长率7.15%
Sou Hu Cai Jing· 2025-09-05 09:28
Core Viewpoint - The AI Fund Dachen Belt and Road Flexible Allocation Mixed A (002319) reported a profit of 3.7243 million yuan for the first half of 2025, with a weighted average profit per fund share of 0.1463 yuan. The fund's net value growth rate was 7.15%, and its total scale reached 46.9348 million yuan by the end of the first half of the year [3]. Fund Performance - As of September 3, the fund's unit net value was 2.274 yuan. Over the past year, the fund achieved a cumulative net value growth rate of 38.03%, the highest among its peers, while the lowest was 24.54% for another fund managed by the same team [3][6]. - The fund's performance over different time frames includes a three-month net value growth rate of 11.59%, a six-month rate of 15.76%, and a three-year rate of 2.66% [6]. Market Analysis - The fund manager noted that the market presented diverse and highly volatile opportunities in the first half of the year, with notable growth in sectors such as non-ferrous metals, banking, defense, media, communications, machinery, automotive, and computing. Conversely, sectors like coal, food and beverage, real estate, oil and petrochemicals, construction, retail, transportation, and building materials experienced declines [3]. Valuation Metrics - As of June 30, 2025, the fund's weighted average price-to-earnings (P/E) ratio was approximately 51.66 times, significantly higher than the peer average of 15.75 times. The weighted average price-to-book (P/B) ratio was about 3.72 times, compared to the peer average of 2.52 times, and the weighted average price-to-sales (P/S) ratio was around 3.3 times, against a peer average of 2.16 times [11]. Growth Metrics - For the first half of 2025, the fund's weighted average revenue growth rate was -0.03%, and the weighted average net profit growth rate was -0.08%. The weighted annualized return on equity was 0.07% [18]. Fund Composition - As of June 30, 2025, the fund had a total of 14,800 holders, with individual investors holding 100% of the shares. The fund's turnover rate for the last six months was approximately 301.83% [35][38]. - The fund's top ten holdings included companies such as Baiya Co., Taienkang, AVIC Shenyang Aircraft, Kidswant, Jianghuai Automobile, Yitian Intelligent, Xiamen Bank, Yonghui Supermarket, Small Commodity City, and Jinbo Biological [40].
大成一带一路灵活配置混合A:2025年第二季度利润442.43万元 净值增长率10.35%
Sou Hu Cai Jing· 2025-07-22 03:44
AI基金大成一带一路灵活配置混合A(002319)披露2025年二季报,第二季度基金利润442.43万元,加权平均基金份额本期利润0.1917元。报告期内,基金 净值增长率为10.35%,截至二季度末,基金规模为4693.48万元。 该基金属于灵活配置型基金。截至7月21日,单位净值为2.165元。基金经理是齐炜中,目前管理7只基金近一年均为正收益。其中,截至7月21日,大成新兴 活力混合A近一年复权单位净值增长率最高,达26.94%;大成蓝筹稳健混合A最低,为7.13%。 基金管理人在二季报中表示,二季度,市场的机会呈现多样性,且更多来自于估值提升,既有来自产业突破的如科技、医药等,也有资产确定性提升的如金 融、资源品等。而细分需求爆发的如新消费,业绩提升的同时也享受了一定的估值提升。想要做好往往需要对细分产业做到前瞻性判断,也要在大类资产比 较上做到领先。 本基金操作上,我们仍然保持高仓位运作,也仍然是基于我们的核心框架在积累公司和评估风险。我们在二季度取得一定回报,一方面是立足自己的能力 圈,一方面也是做好风险的匹配工作。 截至7月21日,大成一带一路灵活配置混合A近三个月复权单位净值增长率为14.97 ...
大成一带一路灵活配置混合A连续5个交易日下跌,区间累计跌幅5.24%
Sou Hu Cai Jing· 2025-06-19 17:01
来源:金融界 公开信息显示,现任基金经理齐炜中先生:中国国籍,硕士研究生,金融学硕士。2012年7月加入大成基金 管理有限公司,历任研究部研究员、行业研究主管。2017年2月20日起任大成积极成长混合型证券投资基 金基金经理助理。具备基金从业资格。2020年2月3日起担任大成消费主题混合型证券投资基金基金经 理。2020年02月03日担任大成景阳领先混合型证券投资基金基金经理。2021年03月17日担任大成一带一 路灵活配置混合型证券投资基金基金经理。2021年6月21日担任大成蓝筹稳健证券投资基金基金经理。 2022年11月18日至2025年1月9日任大成消费机遇混合型证券投资基金基金经理。2024年8月5日担任大成 内需增长混合型证券投资基金基金经理。 截止2025年3月31日,大成一带一路灵活配置混合A前十持仓占比合计58.82%,分别为:百亚股份 (9.53%)、孩子王(7.14%)、中芯国际(7.11%)、盐湖股份(6.67%)、匠心家居(5.57%)、永辉 超市(5.08%)、中兴通讯(4.97%)、新诺威(4.96%)、景业智能(3.94%)、成都华微(3.85%)。 6月19日,大成一带一路灵 ...