Haitong Yueyue Sheng Asset Management Plan February8520C1

  • Performance benchmark (annualized)


  • Operation period

    65 days

  • product type

    Bond type

  • Closed operation
  • Unlimited number of people
* Performance benchmark (annualized), which indicates the highest annualized rate of return that a product may achieve, does not constitute a minimum return guarantee, nor does it represent a certain profit.

Operational history

Operation period Performance benchmark (annualized)
                This product is a non-public fund product. There is no public channel for past performance. Our company cannot guarantee that the above data is true, accurate and complete. Please do not use it as the basis for investment decision.

Purchase information

Recognition (application) purchase amount: 50000
Duration: No fixed duration
Purchase fee: 0.00%
Redemption fee: 0.00%
Performance compensation: No data
management fee: 0.50%
Hosting fee: 0.05%

Basic Information

The full name of the product: Haitong Yueyue Sheng Asset Management Plan Priority March 21st
Product Code: 8520C1
Income structure: fixed income
Funding: No data
Investment Strategy: No data
Investment range: Targeted debt financing instruments and other types of debt financing instruments approved by the Inter-bank Dealers Association), securities repurchases, asset-backed securities, money market funds, bond funds, graded funds, priority shares, guaranteed income, and capital preservation Income commercial bank financial plan, bank deposits, cash, etc., as well as laws and regulations or other fixed income investment products recognized by the China Securities Regulatory Commission. The credit rating of corporate bonds, corporate bonds, detachable bonds, medium-term notes and other credit bonds is not lower than AA, and short-term financing bonds are not less than A-1.
Project participants: No data
Structured design: The ratio of risk-level net assets to priority net assets is not less than 5:100
Participation in own funds: No data
Income risk characteristics: Low risk level
Wind control measures: Divided into two levels of priority and risk. The priority share enjoys the agreed expected return. The initial leverage ratio of this set is not higher than 21
Product size limit: unlimited
Income distribution principle: Enjoy the agreed expected rate of return
administrator: Shanghai Haitong Securities Asset Management Co., Ltd.
Investment Advisor: No data
Investment Manager: Yang Guibin
Custodian: China Minsheng Bank Co., Ltd.

other information

Manager introduction
Haitong Securities Asset Management Co., Ltd. is a wholly-owned subsidiary of Haitong Securities Co., Ltd., which was opened in July 2012 with a registered capital of RMB 1.2 billion. It is currently the largest brokerage asset management company with the registered capital in China. The business scope is securities asset management business, including: oriented business, collective business, special business, QDII business and innovative business. In 2006, the first issue of reasonable financial products was issued. In 2008, qualified domestic institutional investors were qualified to engage in overseas securities investment management. In September 2012, the first batch of insurance fund investment managers were qualified. After years of accumulation, the entire product chain has been formed in equity investment, fixed income, quantitative investment, market value management, asset securitization, and financing business.
Investment consultant introduction
&nbsp&nbsp&nbsp&nbspNo data yet
Investment manager introduction
Mr. Yang Guibin: Ph.D. in Economics from Xi'an Jiaotong University, 7 years of financial work experience, 4 years of experience in bond fund management. He is currently the director of fixed income of Haitong Asset Management. He once worked for the Wells Fargo Fund, and the Fuguo Tianli Bond Fund, which he manages, has won several Golden Bull Bond Fund awards. He has extensive experience in macroeconomics, credit bonds and convertible bond investments.
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