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Baoying Technology 30 Flexible Allocation Hybrid Securities Investment Fund (abbreviation: Baoying Technology 30 Hybrid, code 000698) announced its latest net value on March 14, up 3.36%.
Baoying Technology 30 Hybrid was established on August 13, 2014, and the performance comparison benchmark is the yield of the CSI 800 Index ×60% + the yield of the CSI Composite Bond Index ×40%. The fund has returned 244.20% since its inception, 18.73% this year, 9.58% over the past month, 36.48% over the past year, and 5.45% over the past three years. In the past year, the fund ranked 374/7838 in its peer group.
The fund manager is Yung Chi Neng. Yung has managed (or intends to manage) the fund since December 24, 2024, with a return of 14.47% during his tenure.
According to the latest periodic report, the fund's top 10 heavy stocks are as follows:
stock symbol | ,stock name | ,position ratio | , number of shares held (shares). | Market value of the position (RMB). |
300476 | Shenghong Technology | 8.63% | 1857800 | 78.1948 million |
688270 | Zhenlei Technology | 8.30% | 2148977 | 75.2142 million |
300750 | CATL | 7.98% | 271763 | 72.289 million |
002463 | 7.96% | of Shanghai Electric Co., Ltd | .1818900 | 72.1194 million |
300502 | Xin Yisheng | 5.92% | 464200 | 53.6522 million |
000063 | ZTE | 4.71% | 1055820 | 42.6551 million |
688981 | SMIC | 4.51% | 431471 | 40.8258 million |
300037 | Capchem | 4.45% | 1077020 | 40.3236 million |
001339 | Zhiwei Intelligent | 4.42% | 1094308 | 40.0407 million |
301413 | Amperon | 4.37% | 740307 | 39.6138 million |
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