It is more convenient to use the WeChat mini program directly. The following are the steps to use: 1. Search the mini program Yangjibao.
2. Synchronize Alipay funds – my favorite feature.
3. Click Sync My Funds.
4. Just upload a screenshot of the Alipay holding interface, and it will be recognized in 3 seconds.
5. After the activation is completed, pull down the homepage to open the mini program, and you will see the latest earnings.
What I like most about this small program is the "one-click synchronization of positions" function, which can be completed in 30 seconds by uploading screenshots for identification.
You don’t need to open Alipay and you can see today’s earnings rise and fall without waiting for the market close.
Operating environment: Xiaomi 11 MIUI 12.6.0 WeChat 8.5.0 Alipay 9.5 Fund Treasure is a fund product, but it is relatively stable.
"Fund Bao" business introduction "Fund Bao" is a fund of funds (FoF) or a fund of funds (For, Fund of Funds). The investment targets are various funds. FOF is another mature financial management company that has landed in China after Lof and ETF.
The product was born in the United States in the early 1990s and has developed rapidly. In 10 years, the number of U.S. FOFs has reached 213, with total assets as high as US$48 billion. Dual professional management is based on the fund's "expert financial management and expert management" through selection.
The fund enters the portfolio and achieves dual professional management. The fund has diversified the risk by constructing the portfolio; FoF carefully selects the funds on this basis and diversifies the risk again. China Merchants Securities’ first batch of financial management products is China Merchants Securities.
The innovative financial product launched, the full name of which is "China Merchants Securities Fund Bao Collective Asset Management Plan", belongs to the "China Merchants Trusted Financial Management Plan Phase II". 4. The operation mode strictly follows the relevant regulations of collective asset management plans in the "Trial Measures for Client Asset Management Business of Securities Companies".
It is stipulated that operating funds are managed by banks and traded through dedicated seats. There are strict risk control systems and means. Net worth reports are published weekly, and asset management reports are published mid-term and annually. Asset custody reports are published. In case of major events, temporary reports are published and profits are announced. At least dividends are distributed every year.
Once. ETF-related stocks (proportion does not exceed 2%). Take advantage of professional investors and use quantitative ETF arbitrage strategies and advanced programmatic trading systems to promptly capture market discount and premium opportunities and conduct real-time arbitrage on the same day.