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Cathay Pacific Ankang regularly pays for mixed C(002061
)

Net value estimate(18-08-21 15:00)

2.5203
+0.0033+0.13%
Near January:-1.76%
Nearly 1 year:2.86%

Unit net value (2018-08-20)

2.51700.32%
Near March:-2.74%
Nearly 3 years:--

Cumulative net worth

2.5170
Near June:-2.18%
Established:103.64%
Fund type:HybridFund size: 0.99 billion yuan (2018-06-30)Fund Manager:Wang Lin
Established day:2015-11-16Manager:Guotai FundFund rating:
No rating yet

The first batch of sales organizations of the CSRC

Minsheng Bank conducts supervision of trading funds throughout the process

trading status:Open subscriptionOpen redemption
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  • Net value estimate average deviation:0.14%
    Estimated net worth: Real-time updates are available from 9:30 to 15:00 on each trading day. Estimated according to fund positions and index trends, the estimated data does not represent the true net value and is for reference only.
    Net value estimate mean deviation: the average of the deviation between the net value estimate and the actual net value in the past month.
    Download the mobile version, look at the net worth
  • Life treasureGet it at any time, the fastest 1 second arrives in real time

    Up to 7 days of related funds4.26%08-20

    The cumulative sales of the current treasure is super12000Billion

  • Nearly 1 week
    Near January
    Nearly March
    Near June
    In this year
    Nearly 1 year
    Nearly 2 years
    Nearly 3 years
    Stage increase
    -0.87%
    -1.76%
    -2.74%
    -2.18%
    -1.33%
    2.86%
    7.61%
    --
    Similar average
    -2.80%
    -5.11%
    -8.96%
    -7.35%
    -9.15%
    -4.79%
    -1.24%
    0.70%
    Shanghai and Shenzhen 300
    -1.37%
    -4.76%
    -15.16%
    -16.14%
    -17.47%
    -11.08%
    -1.14%
    -7.32%
    Similar ranking
    692 | 2809
    872 | 2815
    738 | 2757
    780 | 2655
    617 | 2526
    460 | 2343
    342 | 1651
    -- | 1117
    Quartile ranking

    excellent

    good

    good

    good

    excellent

    excellent

    excellent

    --

    • selection period
    • January
    • March
    • June
    • 1 year
    • 3 years
    • 5 years
    • this year
    • maximum
    Compared
    PKCurrent fund
  • Investment style in the second quarter of 2018
  • Reporting period Fund turnover rate
    2017-12-3144.83%
    2017-06-3037.16%
    2016-12-3111.06%
    2016-06-303.98%
    The fund turnover rate is used to measure the frequency of changes in the fund's portfolio.
Solemnly declare: The above information (including but not limited to text, data and graphics) is based on public information collection, the relevant information has not been confirmed by the company, the company does not guarantee the accuracy, authenticity and integrity of all or part of the information. Does not constitute any recommendation or guarantee of the company. The specific information of the fund is subject to the relevant announcement of the administrator. Before investing, investors should carefully read the legal documents such as the Fund Contract and the Prospectus to understand the product benefits and risk characteristics. Market risk, the investment need to be cautious. Source: Eastern Fortune Choice data.

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