Financial planner
Hot data: Net value of fund Reward ranking
Net worth forecast Private placement income
Nuoan Financial Treasure Currency B
(000641)
10000 copies of income: 04262
purchase consultation
Add self selection

Nuoan Financial Treasure Currency B

(000641) View with mobile phone
Scan QR code
Open this page with your phone
Currency type Low risk
Jian Financial Information Rating:

Fund performance (i.e. risk adjusted returns) ranks among the top 81% 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.

>> View Performance
10000 earnings
zero point four two six two
7-day annualization
1.617%
Increase in recent January
0.15%
Increase in recent March
0.47%
Increase in recent one year
2.03%
Data date: June 20, 2024
Date of establishment: May 13, 2014
administrator: Noam Fund Company Weibo
Latest scale: 1 billion 121 million
Fund Manager: Pan Fei
return
Comprehensive evaluation
six point one
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 (%) 1.617% 1.623% 1.607% 1.616% 1.576% 1.567%
Same category ranking (currency A) 229/282 225/282 226/282 223/282 228/282 230/282
Income per 10000 shares (yuan) zero point four two six two zero point four seven six eight zero point four one seven five zero point five zero five one zero point eight seven six eight zero point three seven three seven
Yield in recent year (%) 2.03% 2.03% 2.04% 2.03% 2.04% 2.05%
Quartile ranking
Asset allocation
Data date: 2024-03-31
Type of bond Market value (10000 yuan) Proportion (%)
Large transferable inter-bank deposit receipt 54,325.27 twenty-eight point eight eight
Ordinary corporate bonds 5,060.99 two point six nine
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
More>>
Update of product information summary of Nuoan Wealth Management Money Market Fund Summary of Fund Product Information 2024-05-31
Nuoan Fund Management Co., Ltd.'s suggestive summary (update) of some of its fund products Informative announcement, fund 2024-05-31
The First Quarter Report of 2024 of Nuoan Wealth Management Money Market Fund investment portfolio 2024-04-22
Indicative Announcement of the First Quarter Report of 2024 of the Fund of Noan Fund Management Co., Ltd Fund quarterly report tips 2024-04-22
2023 Annual Report of Nuoan Financial Treasure Money Market Fund Annual report of the Fund 2024-03-29
Indicative announcement of 2023 annual report of funds under Noan Fund Management Co., Ltd Fund Annual Report Tips 2024-03-29
Update of product information summary of Nuoan Wealth Management Money Market Fund Summary of Fund Product Information 2024-03-15
Nuoan Wealth Management Money Market Fund Prospectus (Updated) 2024 Issue 1 Prospectus (Updated 2024-03-15
The indicative company of the Prospectus of Nuoan Financial Treasure Money Market Fund, Fund Product Information Summary (updated) Informative announcement, recruitment 2024-03-15
Indicative announcement of the fourth quarter 2023 report of funds under Noan Fund Management Co., Ltd Fund quarterly report tips 2024-01-22
Fund No
More>>
Fund
There are no posts about this fund, I want to post>>
Fund information | Subscription redemption | legal document | Sales organization | Holder structure | Top Ten Holders
Subscription and redemption of Nuoan Financial Treasure currency B (000641)
Start date Deadline
No corresponding data!
Reporting period Total shares at the beginning of the period Total shares at the end of the period Total subscription shares during the period (copies) Total redemption units during the period (share) Net redemption shares during the period Net redemption ratio
*Note: Sina Finance reminds that the above data are provided by the partners for reference only. For transactions, please refer to the officially announced data.
The holder structure of Nuoan Financial Treasure currency B (000641)
No corresponding data!
Reporting period
*Note: Sina Finance reminds that the above data are provided by the partners for reference only. For transactions, please refer to the officially announced data.
Top Ten Holders of Nuoan Financial Treasure Currency B (000641)
No corresponding data!
Report date
S/N Name of holder Shares held Proportion in total shares (%)
*Note: Sina Finance reminds that the above data are provided by the partners for reference only. For transactions, please refer to the officially announced data.
Historical yield of Nuoan Financial Treasure currency B (000641)
Start date Deadline
Please enter a valid start and end date!
date Unit net value (yuan) Accumulated net value (yuan) Net value growth rate
*Note: Sina Finance reminds that the above data are provided by the partners for reference only. For transactions, please refer to the officially announced data.
whole | periodic report | Dividend report | interim report | Fund rate change | Major events
Start date Deadline
Please enter a valid start and end date!
*Note: Sina Finance reminds that the above data are provided by the partners for reference only. For transactions, please refer to the officially announced data.
Historical dividend | financial index | Income Statement | Fund Balance Sheet
No corresponding data!
It is a normal phenomenon that the net value of the unit declines and the income temporarily declines due to fund dividends, share conversion, etc
*Note: Sina Finance reminds that the above data are provided by the partners for reference only. For transactions, please refer to the officially announced data.
No corresponding data!
No corresponding data!
The following posts recommend popular funds~
Position change of Nuoan Financial Treasure currency B (000641)
Report date
*Note: Sina Finance reminds that the above data are provided by the partners for reference only. For transactions, please refer to the officially announced data.
All shares of Nuoan Financial Treasure Currency B (000641)
Report date
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)
*Note: Sina Finance reminds that the above data are provided by the partners for reference only. For transactions, please refer to the officially announced data.
Nuoan Financial Treasure Currency B (000641) holds bonds
Report date
S/N Bond code Bond abbreviation Market value of bonds (yuan) Proportion to net worth (%) Bond holding fund (piece)
*Note: Sina Finance reminds that the above data are provided by the partners for reference only. For transactions, please refer to the officially announced data.
Open subscription: yes
Service charge for purchase: --% --%
Initial purchase amount: --Yuan
Cangshi Wealth Management: an independent fund sales platform under Sina.com, subject to the supervision of China Securities Regulatory Commission and Shanghai Pudong Development Bank
Consulting financial planner
Add self selection
Buy funds with the financial planner client!
Recent Visits Discretionary fund
Fund abbreviation Latest net value growth rate service
-- -- -- --
See more>>
You have no self selected fund, please add~
See more>> Administration
Basic information Investment Style
Fund information Fund rate Subscription redemption Historical net worth Dividend information Fund announcement legal document Sales organization Holder structure Top Ten Holders
Asset allocation Bonds held
Financial position Fund rating
financial index Income Statement Fund Balance Sheet
Morningstar Rating Haitong Rating Galaxy Rating Investment promotion rating Jian Financial Information Rating
Hot sales of the same kind
Fund abbreviation Latest net value Recent March service
Similar funds
Fund abbreviation 10000 earnings 7-day annualization service
Taiping Day one point five one eight zero 3.626%
Anxin Cash zero point four three three six 3.428%
Manulife currency zero point four five four seven 2.984%
National Wealth Day by Day zero point four three eight three 2.833%
Laterite innovation one point zero four six eight 2.788%
Xinyuan currency zero point four nine three six 2.557%
PICC currency zero point four two seven two 2.496%
BOC Securities zero point four nine two zero 2.464%
BOC Ruyi zero point eight three four zero 2.422%
Everbright Baode one point zero nine nine eight 2.418%
Peer fund
Fund abbreviation Latest net value Recent March service
Noan growth one point one three eight zero 0.71%
Noan value one point seven zero seven one 0.28%
Nuo Anlixin one point five seven eight seven 0.20%
Nuo Anlixin one point five nine three two 0.20%
Noan Innovation zero point nine five nine zero 0.10%
Noan Oil&Gas one point zero four one zero 0.10%
Noan Global one point three zero one zero 0.08%
Noan is stable one point zero zero seven three 0.07%
Noan is stable one point zero zero eight one 0.07%
Nuoan Zhexiang one point zero nine five two 0.06%
Haoji Recommendation

The quotations of Shanghai and Shenzhen stocks, funds, bonds, Hong Kong stocks, US stocks, domestic futures, foreign exchange, gold, etc., unless otherwise specified, are all real-time quotations; In other markets, the delay time shall be at least 15 minutes. The market data and other materials provided free of charge by Sina Finance are from partners, which are only for the purpose of obtaining information from users and do not constitute investment advice. Sina Finance and its partners will not be responsible for the error, deformity, delay of the information provided on this page or any action taken by relying on this information. There are risks in the market, so investment should be cautious.