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Yongying Huitianyi Hybrid C
(011204)
Unit net value: 0.5917( -0.404% )
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Yongying Huitianyi Hybrid C

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mixed type Medium risk
Jian Financial Information Rating:

Fund performance (i.e. risk adjusted returns) ranks among the top 0% 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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(--) Latest valuation: --
Unit net value
zero point five nine one seven
Rise and fall
-0.40%
Increase in recent March
2.28%
Increase in recent one year
-16.70%
Increase in recent three years
--
Data date: May 31, 2024
Date of establishment: March 16, 2021
Cumulative net value per unit: RMB 0.5917
Latest scale: 20 million
Accumulated dividends: 0 yuan
administrator: Yongying Fund
Fund Manager: Li Yongxing
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 (as of May 31, 2024) Nearly half a year Last year since this year on 2023 2022 In recent 3 years Since its establishment
Net worth growth rate -5.54% -16.70% -0.05% -29.72% -12.61% -- -40.83%
Similar ranking (mixed partial shares) 3367/4713 3560/4582 2938/5012 4933/5046 2202/4927 -- --
Homogeneous average (partial mixed type) -1.80% -7.57% -0.41% -8.18% -14.65% -20.29% --
Annualized rate of return (%) -11.08% -16.70% -0.12% -29.72% -12.61% -- -12.72%
Quartile ranking
Top 10 positions
Data date: 2024-03-31
Stock Abbreviation Latest price Rise and fall Proportion in net worth (%) Shareholding fund (share) service
Shareholding ratio Change from the previous period Shareholding fund Change from the previous period
China Merchants Shekou -- -- 9.81% 3.81% one hundred and sixty-four -889 consultation
Poly Development -- -- 9.18% -4.57% two hundred and sixty -1244 consultation
Gu Jia Jia -- -- 8.76% 11.17% one hundred and twenty-seven -482 consultation
Ping An Bank -- -- 8.33% 23.41% one hundred and sixty-four -421 consultation
Oupai Home -- -- 7.66% 1.06% sixty-two -721 consultation
Gemdale Group -- -- 7.04% -4.86% twenty-four -280 consultation
Ping An, China -- -- 6.79% 11.68% five hundred and eighty-three -799 consultation
Huafa Shares -- -- 4.98% 7.79% seventy-two -503 consultation
Asset allocation
Data date: 2024-03-31
Industry distribution
Data date: 2024-03-31
Stock selection style
Fund rating
Rating classification Comprehensive rating Profitability Performance stability Risk resistance market timing Benchmark tracking capability Excess earning capacity Overall cost
mixed type
--
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Rating deadline: 2024-03-31
Fund announcement
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Yongying Huitianyi Hybrid Securities Investment Fund 2024 Q1 Report investment portfolio 2024-04-20
Indicative announcement of some funds of Winwin Fund Management Co., Ltd. in the first quarter of 2024 Fund quarterly report tips 2024-04-20
Yongying Huitianyi Hybrid Securities Investment Fund 2023 Annual Report Annual report of the Fund 2024-03-27
Prompting Announcement of 2023 Annual Report of the Fund of Winwin Fund Management Co., Ltd Fund Annual Report Tips 2024-03-27
Yongying Huitianyi Hybrid Securities Investment Fund Fourth Quarter Report 2023 investment portfolio 2024-01-19
Indicative announcement of the fourth quarter report of 2023 of the funds of Winwin Fund Management Co., Ltd Fund quarterly report tips 2024-01-19
Indicative Announcement of the Third Quarter Report of 2023 of the Fund of Winwin Fund Management Co., Ltd Fund quarterly report tips 2023-10-25
Third Quarter Report of Yongying Huitianyi Hybrid Securities Investment Fund in 2023 investment portfolio 2023-10-25
Yongying Fund Management Co., Ltd. Yongying Huitianyi Hybrid Securities Investment Fund Updated Prospectus (2023 Prospectus (Updated 2023-09-28
Yongying Huitianyi Hybrid Securities Investment Fund (C share) Fund Product Information Summary Update (No. 2 in 2023) Summary of Fund Product Information 2023-09-28
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Purchase and redemption of Yongying Huitianyi Hybrid C (011204)
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Yongying Huitianyi Hybrid C (011204) holder structure
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Historical net value of Yongying Huitianyi Hybrid C (011204)
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Position change of Winwin Huitianyi Hybrid C (011204)
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All shares of Yongying Huitianyi Hybrid C (011204)
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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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Bonds held by Yongying Huitianyi Hybrid C (011204)
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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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