Among stock funds and hybrid funds, 64.0 1% achieved positive returns yesterday, 56 funds achieved more than 5% returns, and 208 funds withdrew more than 1%. The following small series brings 56 funds with a net increase of more than 5% on May 30. Let's take a look, hoping to bring some reference.
The net value of 56 funds rose by more than 5% on May 30.
The Shanghai Composite Index rose 0.09% yesterday to close at 3224.2 1 point, the Shenzhen Component Index rose 0.44%, the Growth Enterprise Market Index rose 0.67%, and the Science and Technology Innovation 50 Index rose 1.56%. On the disk, among the first-class industries to which Shen Wan belongs, media, computer and communication were among the top gainers, rising by 4.06%, 2.87% and 2.67% respectively. The top losers are household appliances, food and beverage, beauty care and so on. , decreased by 1. 14%, 1. 1% and 0.77% respectively.
Among stock funds and hybrid funds, the arithmetic average net growth rate was 0.40% on May 30th, and the net growth rate was positive, accounting for 64.0 1%. Among them, there are 56 funds with a net growth rate of more than 5%, and the net growth rate of CICC Growth Select C is 6.85%, with the highest rate of return, followed by CICC Growth Select A, Haifutong Stock Mix and Haifutong Growth Select Mix A, with net growth rates of respectively.
Statistics show that among the funds with a net growth rate of more than 5%, according to the statistics of its fund companies, 16 funds belong to Changan Fund, and 7 funds and 6 funds including Haifutong Fund and Caitong Fund are on the list respectively.
From the perspective of fund investment types, CICC Growth Select C, which ranks first in net growth rate, belongs to partial stock type. Among the funds whose net growth rate exceeds 5%, 25 funds belong to partial stock type, 19 funds belong to flexible allocation type, and 8 funds belong to index stock type.
Among the net value withdrawal funds, 208 withdrew more than 1%, and the largest withdrawal was the Nordisk small and medium-sized mixed fund, with the net value of the fund falling by 2.52%. The top exit rates are Yuanxin Yongfeng Shuang Yi Youxuan, BOC Healthcare Hybrid A and Ping An Healthcare Hybrid Fund, with the exit rates of 2.33%, 2.27% and 2.27% respectively.
Seize the stocks with continuous daily limit.
In the mid-line stock picking skills, if you want to make a medium-long line layout, you must look at the current market situation. You can refer to the annual line (250 antennas) and semi-annual line (120 antennas) of the market index. If the trend is above the annual line and the semi-annual line, it means that it is not a bear market at present. In the face of national policies, investors should not be lucky enough to grab the rebound or choose to buy people, but should wait and see to clear their positions. If the stock market rises sharply, it is necessary to follow the trend and hold shares in the medium term.
Mid-line stock selection should be comprehensively analyzed from six aspects: K-line shape, technical index, relative price, company fundamentals, market trend and stock theme. We should give up some stocks with high P/E ratio and prices much higher than their intrinsic values.
As for how to seize the stocks with continuous daily limit? The initial share price rose by more than 6%; Must be "heavy"; The greater the increase, the stronger the trend and the more favorable it is. Among the key conditions of daily limit, the opening price is 2-3 points higher and the opening price is not more than 2 points lower. The decline process cannot be heavy, and the heavy volume is suspected of shipping; The closing price is near yesterday's closing price, so it is best not to form a gap.
What are the stocks with good fundamentals?
Fundamental analysis is to analyze the basic factors that affect stock value and stock price trend according to relevant theories, so as to determine the decision-making process of investing in a stock. Fundamentals refers to the analysis of the macro-economy, industry and company's basic situation, including the analysis of the company's business philosophy and strategy, company statements and so on.
Macroeconomic situation: From a long-term and fundamental point of view, the trend and changes of the stock market are determined by the level of economic development and prosperity of a country, and the price fluctuation of the stock market also reflects the changes of the macroeconomic situation to a great extent. From the historical trend of foreign securities markets, it is not difficult to find that the changing trend of the stock market is generally consistent with the economic cycle.
Inflation: This factor has advantages and disadvantages for the trend of the stock market, which can stimulate the market and suppress it, but generally speaking, the disadvantages outweigh the advantages, which will promote the increase of the stock market bubble components. In the initial stage of inflation, the increase of money will stimulate production and consumption, and the growth rate will increase the profits of enterprises, thus prompting the stock price to rise.