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广博股份股价涨5.08%,申万菱信基金旗下1只基金重仓,持有169.14万股浮盈赚取82.88万元
Xin Lang Cai Jing· 2025-11-24 06:22
11月24日,广博股份涨5.08%,截至发稿,报10.13元/股,成交2.38亿元,换手率6.31%,总市值54.12亿 元。 资料显示,广博集团股份有限公司位于浙江省宁波市海曙区石碶车何广博工业园,成立日期1996年10月 30日,上市日期2007年1月10日,公司主营业务涉及办公文具、印刷制品、塑胶制品的生产、销售以及 进出口贸易,互联网广告服务行业以及特价导购行业。主营业务收入构成为:办公直销类52.94%,办公 用品类26.14%,休闲生活类12.64%,创意产品类5.44%,其他类产品1.99%,其他(补充)0.85%。 从广博股份十大流通股东角度 数据显示,申万菱信基金旗下1只基金位居广博股份十大流通股东。申万菱信消费增长混合A (310388)三季度新进十大流通股东,持有股数169.14万股,占流通股的比例为0.44%。根据测算,今 日浮盈赚取约82.88万元。 申万菱信消费增长混合A(310388)成立日期2009年6月12日,最新规模1.42亿。今年以来收益 18.14%,同类排名3757/8209;近一年收益27.2%,同类排名1913/8129;成立以来收益194.11%。 申万菱信消费 ...
9/29财经夜宵:得知基金净值排名及选基策略,赶紧告知大家
Sou Hu Cai Jing· 2025-09-29 16:12
Core Insights - The article provides a ranking of open-end funds based on their net asset value growth as of September 29, 2025, highlighting the top and bottom performers in the market [2][5][7]. Group 1: Top Performing Funds - The top 10 funds with the highest net value growth include: 1. E Fund CSI Hong Kong Securities Investment Theme ETF with a unit net value of 2.3164, up from 2.1379, showing an increase of 0.17 [2]. 2. Tongtai Financial Select Stock A with a unit net value of 1.2474, up from 1.1705, an increase of 0.07 [2]. 3. Tongtai Financial Select Stock C with a unit net value of 1.2281, up from 1.1524, also an increase of 0.07 [2]. 4. Invesco Great Wall Jing Tai Stable Open Bond A with a unit net value of 1.1135, up from 1.0501, an increase of 0.06 [2]. 5. Harvest Clean Energy Stock Initiation A with a unit net value of 1.0851, up from 1.0247, an increase of 0.06 [2]. 6. Harvest Clean Energy Stock Initiation C with a unit net value of 1.0665, up from 1.0072, an increase of 0.05 [2]. 7. Harvest Intelligent Vehicle Stock with a unit net value of 3.1520, up from 2.9820, an increase of 0.17 [2]. 8. Orient New Energy Vehicle Theme Mixed with a unit net value of 3.0037, up from 2.8504, an increase of 0.15 [2]. 9. Orient Regional Development Mixed with a unit net value of 1.5072, up from 1.4304, an increase of 0.07 [2]. 10. Orient Internet Jia Mixed with a unit net value of 1.4300, up from 1.3577, an increase of 0.07 [2]. Group 2: Bottom Performing Funds - The bottom 10 funds with the lowest net value growth include: 1. ICBC聚福混合C with a unit net value of 1.3532, down from 1.3723, a decrease of 0.01 [5]. 2. ICBC聚福混合A with a unit net value of 1.3931, down from 1.4111, a decrease of 0.01 [5]. 3. Shenwan Sixin Consumer Growth Mixed C with a unit net value of 1.3900, down from 1.4070, a decrease of 0.01 [5]. 4. Shenwan Lingxin Consumer Growth Mixed A with a unit net value of 1.4890, down from 1.5060, a decrease of 0.01 [5]. 5. Penghua Consumer Preferred Mixed with a unit net value of 3.2620, down from 3.2990, a decrease of 0.03 [5]. 6. Dachen Health Industry Mixed C with a unit net value of 1.3900, down from 1.4050, a decrease of 0.01 [5]. 7. Dachen Health Industry Mixed A with a unit net value of 1.4160, down from 1.4310, a decrease of 0.01 [5]. 8. Nord New Prosperity with a unit net value of 1.2933, down from 1.3063, a decrease of 0.01 [5]. 9. Guotai Zhongzheng Coal ETF with a unit net value of 1.0712, down from 1.0816, a decrease of 0.01 [5]. 10. Guolian Coal A with a unit net value of 1.7510, down from 1.7680, a decrease of 0.01 [5]. Group 3: Market Overview - The Shanghai Composite Index showed a slight rebound, while the ChiNext Index opened higher, with a total trading volume of 2.17 trillion. The number of advancing stocks was 3,576 compared to 1,568 declining stocks [7]. - Leading sectors included securities and non-ferrous metals, both rising over 3%, while the coal sector lagged behind [7].
机构风向标 | 潮宏基(002345)2025年二季度已披露前十大机构累计持仓占比48.83%
Xin Lang Cai Jing· 2025-08-22 01:34
Group 1 - Chao Hong Ji (002345.SZ) reported its 2025 semi-annual results, with 93 institutional investors holding a total of 500 million shares, representing 56.31% of the total share capital as of August 21, 2025 [1] - The top ten institutional investors collectively hold 48.83% of the shares, with a slight decrease of 0.67 percentage points compared to the previous quarter [1] Group 2 - In the public fund sector, seven funds increased their holdings, accounting for 0.38% of the total, while five funds decreased their holdings, representing a reduction of 0.18% [2] - A total of 75 new public funds were disclosed this period, while 11 funds were no longer reported compared to the previous quarter [2] - One foreign fund, Hong Kong Central Clearing Limited, increased its holdings by 0.69% [2]