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How about Caitong Asset Management Hongda Pure Debt E
Caitong Asset Management Hongda Pure Debt E(005882) cumulative net value 1 1. 1292, latest unit net value 1. 1292, net growth rate of 0.02%, latest valuation 1.62.

This Caitong Asset Management Hongfu is good, which is stronger than the debt base of the previously bought Caitong Asset Management HTC Pure Debt E. Please observe for a while before considering whether to buy this debt base.

Other Caitong Asset Management Hongda Pure Bond Securities Investment Fund was transformed from Caitong Asset Management Cinda Return Hybrid Securities Investment Fund. The original Caitong Asset Management Cinda Return Hybrid Securities Investment Fund Contract came into effect on 20 18124 October, and the transformed Caitong Asset Management Hongda Bond Securities Investment Fund Contract came into effect on 20 1913 October.

The investment scope of the Fund is financial instruments with good liquidity, specifically bonds (including government bonds, financial bonds, central bank bills, corporate bonds, corporate bonds, medium-term notes, government-backed institutional bonds, government-backed bonds, local government bonds, subordinated bonds, convertible bonds, short-term financing bonds, ultra-short-term financing bonds, etc.). ), asset-backed securities, bond repurchase, agreement deposits, notice deposits, etc.

The proportion of the fund's investment portfolio is: the proportion of the fund's investment in bond assets is not less than 80% of the fund's assets. At the end of each trading day, the cash held by the Fund or government bonds with maturity within one year shall not be less than 5% of the net asset value of the Fund, including settlement reserve, deposit and subscription receivable. If the future laws, regulations or regulatory agencies allow the Fund to invest in other varieties, the fund manager can include them in the investment scope after performing appropriate procedures.

Main investment strategies:

1, asset allocation strategy;

2. Fixed income investment strategy;

3. Performance benchmark of treasury bond futures investment strategy Risk-return characteristics of China bond composite (full price) index yield The Fund is a bond fund. Theoretically, its expected risk and expected return are higher than those of money market funds, but lower than those of hybrid funds and equity funds.