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Huitianfu Jinbao Currency A
(000330)
10000 copies of income: 0.4148
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Huitianfu Jinbao Currency A

(000330) View with mobile phone
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Currency type Low risk
Jian Financial Information Rating:

Fund performance (i.e. risk adjusted returns) ranks among the top 64% of funds of the same type. The rating does not include funds with less than two years of performance, as well as closed-end funds, money market funds and capital guaranteed funds.

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10000 earnings
zero point four one four eight
7-day annualization
1.572%
Increase in recent January
0.14%
Increase in recent March
0.44%
Increase in recent one year
1.87%
Data date: June 20, 2024
Date of establishment: September 12, 2013
administrator: Huitianfu Fund Company Weibo
Latest scale: 71 billion 553 million
Fund Manager: Xu Yinzhe Wen Kaiqiang
return
Comprehensive evaluation
five point three
Comprehensive evaluation
four point six
survey essential information Historical net worth Notice rate a bonus Fund No Fund
Market trend Net worth forecast Historical net worth Historical returns
share
Ranking percentage (monthly) Ranking percentage (quarter) Ranking percentage (year)
Fund performance and ranking
Date range 2024-6-20 2024-6-19 2024-6-18 2024-6-17 2024-6-16 2024-6-14
7-day annualized rate of return (%) 1.572% 1.576% 1.588% 1.584% 1.585% 1.588%
Same category ranking (currency A) 348/538 340/538 335/538 343/538 340/538 342/538
Income per 10000 shares (yuan) zero point four one four eight zero point four two three four zero point four four six four zero point four two five six zero point eight four seven two zero point four three three five
Yield in recent year (%) 1.87% 1.87% 1.87% 1.87% 1.87% 1.87%
Quartile ranking
Asset allocation
Data date: 2024-03-31
Type of bond Market value (10000 yuan) Proportion (%)
Large transferable inter-bank deposit receipt 402,404.70 five point six four
Policy financial bonds 108,773.48 one point five two
Ordinary financial bonds 51,931.86 zero point seven three
Fund rating
Rating classification Comprehensive rating Profitability Performance stability Risk resistance market timing Benchmark tracking capability Excess earning capacity Overall cost
Currency type
-- -- -- -- --
Rating deadline: 2024-03-31
Fund announcement
Fund News
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Summary of the Product Information of Huitianfu Jinbao Money Market Fund Class A Share Update Fund (updated on June 7, 2024) Summary of Fund Product Information 2024-06-07
Risk evaluation results of Huitianfu Fund (the first quarter of 2024) other 2024-05-10
About the suspension of large amount subscription, conversion transfer and fixed investment business of Huitian Fu Jinbao Money Market Fund Suspension/resumption of subscription 2024-04-25
Huitianfu Jinbao Money Market Fund First Quarter Report of 2024 investment portfolio 2024-04-22
Cunning announcement on the first quarter report of 2024 of the funds under Huitianfu Fund Management Co., Ltd Fund quarterly report tips 2024-04-22
Summary of the Product Information of Huitianfu Jinbao Money Market Fund Class A Share Update Fund (updated on April 15, 2024) Summary of Fund Product Information 2024-04-15
Updated Prospectus of Huitianfu Jinbao Money Market Fund (updated on April 15, 2024) Prospectus (Updated 2024-04-15
Cunning Announcement of 2023 Annual Report of the Fund of Huitianfu Fund Management Co., Ltd Fund Annual Report Tips 2024-03-29
Huitianfu Jinbao Money Market Fund 2023 Annual Report Annual report of the Fund 2024-03-29
Announcement on Limiting the Accumulative Proportion of Fund Units Held by a Single Investor for Huitian Fu Jinbao Money Market Fund other 2024-03-21
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Subscription and redemption of Huitianfu Jinbao Currency A (000330)
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Historical yield of Huitianfu Jinbao Currency A (000330)
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All shares of Huitianfu Jinbao Currency A (000330)
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S/N Securities code Securities Abbreviation Market value of position (yuan) Proportion to net fund value (%) Number of shares held (shares) Proportion in total share capital of the company (%) Shareholding fund (piece)
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Huitianfu Jinbao Currency A (000330) held bonds
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S/N Bond code Bond abbreviation Market value of bonds (yuan) Proportion to net worth (%) Bond holding fund (piece)
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