Fund establishment, fund business management and other businesses approved by the CSRC.[Projects that must be approved according to law can only be operated after being approved by relevant departments]
Company Profile
Hua'an Fund Management Co., Ltd., founded in 1998 and headquartered in Shanghai, is one of the first five fund management companies approved by the CSRC.Adhering to the core values of "people first, integrity, professionalism, focus, and pursuit of perfection", the company is committed to becoming a first-class asset management company that is most trusted by investors and has global asset allocation capabilities.Hua'an Fund has a registered capital of 150 million yuan, which is held by five large state-owned enterprises in Shanghai.The actual controller of the company is Shanghai International Group Co., Ltd;Up to now, the company's equity structure is stable, and there is no pledge or freezing of equity.The company has established a sound and efficient corporate governance structure, laying a solid foundation for long-term sustainable development.The asset management scale of Hua'an Fund has grown steadily since its establishment 25 years ago.As of December 31, 2022, the size of the company's public funds is 552.3 billion yuan;The management scale of non monetary public offering assets was 332.8 billion yuan.The accumulative service customers exceed 100 million (excluding cross holding), and the accumulative dividend amount is nearly 100 billion yuan.In more than 20 years of the development of China's fund industry, Hua'an Fund has created eight categories of fund products, including open-end funds, open-end index funds, money market funds, QDII funds, ETF feeder funds, short-term wealth management funds, gold ETFs, and public REITs.The company has established a comprehensive fund product line, covering different types of products, such as active equity, stock index, partial debt mix, bonds, currencies, FOF, bulk commodities, public REITs, QDII funds, and deposit certificate index, to meet the investment needs of different risk return characteristics.
Fund Manager Details
Number of people
Average working years
StockClosed equitymixed typeClosed end debtBond typeCurrency typeQDII type
Fund Product Details
Number
Scale (100 million yuan)
Share (100 million)
StockClosed equitymixed typeClosed end debtBond typeCurrency typeQDII type