Federal funds rate futures contract
Recommendation: Fuxing Fund Investment Analysis System V2.3 ★ Software Introduction Fuxing Fund Investment Analysis System is a fund investment management and investment analysis software specially designed and developed for open-end fund investors. It is the only open-end fund investment management and analysis software developed for stand-alone users in China. The system can automatically obtain the net value of the fund, and store the fund data and user investment data on the user's computer. Except for updating the data, the user can use it without connecting to the Internet. The main functions are as follows: 1. Net value update and management 1, which automatically updates the latest net value of open-end funds; 2. Update the net value of the open-end fund on a certain day; 3. Update the net value of open-end funds in a certain period; 4. Network import and export function; 5. Enjoy the fund data among fund lovers on the premise of making an appointment for communication. Second, investment management 1, establish a list of funds that users pay attention to, which can be divided into different stars; 2. Record investment data. Investment records distinguish between subscription and subscription; Support additional investment and dividend reinvestment; 3. Automatically display the cost, share, cash dividend, unrealized income, total income, total yield and the latest profit and loss amount of each investment fund; 4. Report the total cost, total cash dividend, total unrealized income, total income, average yield, latest total profit and loss amount and latest total profit and loss rate of all investment funds; 5. Report the cost, share, cash dividend, unrealized income, total income, total return rate and investment period of each investment (a fund can have multiple investments, such as additional investment and dividend reinvestment); 6. Graphically display the cost ratio and profit ratio of investment funds; 7. Record the cost, income, rate of return and investment period of the redemption fund; 8. Report the total cost, total profit and total yield of all redemption funds. 3. Fund analysis 1, which shows the unit net value, cumulative net value, growth amount and growth rate of all funds in recent days or a certain day; 2. Check the fund profile. Including fund name, code, date of establishment, custodian bank, initial scale, latest scale, fund manager, fund type, investment strategy, rate structure, institution and embarrassing position information (updated regularly in the form of upgrade package); 3. Check the historical net value of the fund, display the trend chart of the net value of the fund, understand the long-term trend of the net value of the fund, and understand the past performance of the fund macroscopically; 4. Automatically display fund dividends; 5. Compare the performance growth of all open-end funds in a certain period; 6. Compare the investment income of all open-end funds in a certain period; 7. Rank the performance of all open-end funds in the last week, last year 1 month, last quarter, first half, last year, last week, last month, last quarter, first half, last year and last two years. Fourth, the auxiliary function 1 supports the proxy server; 2. Specialized investment simulation function; 3. Record and graphic display of historical market closing index; 4. Graphical display of real-time market trends; 5. Fund company information; 6. Bank information records; 7. Financial information collection; 8, the fund's new product release records; 9. Collection of fund companies and financial websites; 10, which can be minimized to the pallet; 1 1, system login permission setting; 12, user data can be backed up and restored; 13. After reinstalling the operating system, you don't need to reinstall this product, you only need simple maintenance to reuse it, and the data is complete. More exciting things are waiting for your discovery ... ★ Download address: 1, website: ★ Software trial instructions and registration price. If you are satisfied with the trial, you can register the official version. Only need to register once, the company will register the registered customer information, provide customer service and technical support, and provide free upgrades for life. The registration fee is 88 yuan, and there are no other fees. ★ Simple experience 1. After 8 pm every trading day, you can get the net value of the day by "updating the latest net value". Because the release time of fund net value is different, if the update is incomplete, "update the latest net value" can be implemented after a period of time. Usually after 9: 30 pm, the net value of the fund has been completely released. The updated net value the next morning is absolutely the most complete. 2. If you forget to update the latest net value of a certain day or period of time, use "Update the net value of a certain day" or "Update the net value of a certain period of time" under "Net value record" to update. 3. Read the user manual to learn more about the software. Click "User Manual" under "Help" in the main menu. 4. Edit the watch list. The main interface of the software is the list of funds concerned by users, which collects funds concerned by users. You should add the funds you have invested or are going to invest in the next step, or are paying attention to, to the attention list here. By default, there are 6 concern funds in the attention list, which can be added or deleted according to your own preferences. How to pay more attention to the fund: Click "Add" in the toolbar. Select the fund you want to pay attention to in the drop-down list of the opened window, then you can set the attention star and comments, and then click "OK" to exit, and see that the fund has been added to the attention list. 5. Record your investment data. After adding the fund you invested in to the watch list, you can configure the investment data. Select a fund, click the "Investment" button in the toolbar to open the investment data configuration window, and configure the investment data according to the prompts. After the investment data configuration is completed, after exiting, you can intuitively see the latest performance and income of the invested fund in the main interface. 6. Learn to make simulated investment, and compare your ability to choose a base with your readiness for real investment. The allocation method of simulated investment is the same as 5. 7. "Revival" began at 2 pm on the day of preparing to buy the fund. Click on the toolbar "big market" to pay close attention to the trend of the big market as an auxiliary decision-making means whether to buy funds. 8. Keep an eye on "www.honpher.cn". If there is an upgraded version of the software, you can download the upgrade package to upgrade. If it is a registered user, an upgrade package will be sent. ★ When using the software for the first time, please fill in the net data from the date of software release to the date of starting to use the software. Methods: 1. Click "Update Latest Net Value" under "Net Value Record" in the main menu. The rightmost panel in the status bar of the main interface (at the bottom of the main interface) prompts that the latest net value has been updated, and then enters the second item. 2. Click "Update the net value of a certain time period" under "Net Value Record" in the main menu. Set the time period from the release date of the software to the start date of using the software. After the data is completed, you only need to update the data by "updating the latest net value" every day. If registered, the system can automatically detect the updated data. If you forget or delay updating the data of a certain day or time period, you can make up for it by "updating the data of a certain day" or "updating the data of a certain time period". Please note: "Update the latest net value" is the most effective updating method. The efficiency of "updating the data of a certain day" and "updating the data of a certain period of time" is relatively low.