广发中证800指数增强A
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 机构风向标 | 恒华科技(300365)2025年三季度已披露前十大机构持股比例合计下跌3.66个百分点
 Xin Lang Cai Jing· 2025-10-29 02:14
 Group 1 - Henghua Technology (300365.SZ) released its Q3 2025 report on October 29, 2025, with a total of 5 institutional investors disclosing holdings of 10.3341 million A-shares, accounting for 1.72% of the total share capital [1] - The institutional investors include China Construction Bank - GF Quantitative Multi-Factor Flexible Allocation Mixed Securities Investment Fund, BARCLAYS BANK PLC, CITIC Securities Asset Management (Hong Kong) Limited - Client Funds, Wanji Zhongzheng 1000 Index Enhanced A, and GF Zhongzheng 800 Index Enhanced A, with a total institutional holding ratio down by 3.66 percentage points compared to the previous quarter [1] - In the public fund sector, one public fund, GF Quantitative Multi-Factor Mixed A, increased its holdings by 0.52% compared to the previous period, while 2 new public funds were disclosed, including Wanji Zhongzheng 1000 Index Enhanced A and GF Zhongzheng 800 Index Enhanced A [1]   Group 2 - In terms of foreign investment, one foreign fund, BARCLAYS BANK PLC, reduced its holdings slightly compared to the previous quarter, while one new foreign institution, CITIC Securities Asset Management (Hong Kong) Limited - Client Funds, was disclosed [2]
 大类资产与基金周报:黄金下跌,商品基金跌幅录得-3.58%-20250518
 Tai Ping Yang Zheng Quan· 2025-05-18 14:12
- The report provides an overview of the major asset markets, including equities, bonds, commodities, and foreign exchange markets[4][9][10][26][27][32][33][39] - The report highlights the performance of various indices in the A-share market, such as the Shanghai Composite Index, Shenzhen Component Index, and others, with their respective percentage changes[9][11][12][13][15] - The report also covers the performance of the Hong Kong stock market, including the Hang Seng Index and the Hang Seng China Enterprises Index, along with their percentage changes[10][18][19][22] - The report includes the performance of the US stock market, with indices like the Dow Jones Industrial Average, Nasdaq Index, and S&P 500, along with their percentage changes[10][24][25] - The bond market section discusses the yield changes of various government and corporate bonds, including the yield spread between different maturities[26][27][28][29][30][31] - The commodities market section provides the weekly percentage changes of various commodities such as crude oil, gold, copper, aluminum, and others[32][33][34][35][36][37][38] - The foreign exchange market section details the exchange rate changes of major currencies against the Chinese Yuan[39][41][42][43] - The report summarizes the newly established funds for the week, including their types, sizes, and fund managers[44][46] - The report provides an overview of the total number and scale of open-end public funds in China, categorized by different types of funds[47][48][49][50] - The performance of different types of funds over the past week, month, year, and year-to-date is compared, highlighting the best and worst performers[51][52][54][55][56][57][59]