Fund Performance
Index Funds 2019-08-09
Fund Name NAV Cum.NAV
CSI 100(LOF) 1.124 1.388
Cyclical ETF 3.682 1.478
Cyclical ETF Feeder 1.279 1.279
Non-Cyclical ETF 2.800 1.180
Non-Cyclical ETF Feeder 1.102 1.102
China Low-Carbon 1.205 1.205
QDII Funds 2019-08-08
Fund Name NAV Cum.NAV
China Overseas 1.717 1.987
Greater China Best Selection 1.099 1.099
Balanced Funds2019-08-09
Fund Name NAV Cum.NAV
Enhanced Return 0.768 2.264
Best Selection 0.400 4.214
Best Selection Fund II 0.919 1.239
Retirement Income Balanced Fund 1.334 1.608
Fund Name NAV Cum.NAV Accumulative
Growth line
Equity 0.629 2.578 0.000
Style Rotation 0.616 1.722 0.000
Leading Growth 1.153 1.303 0.000
Small-Medium Cap Equity 0.776 0.776 0.000
Policy Oriented 1.164 1.731 0.000
Income Growth 1.047 2.672 1.355
Bond Funds 2019-08-09
Fund Name NAV Cum.NAV
Stable Interest C 1.180 1.444
Stable Interest A 1.210 1.477
Solid Gain Bond 1.235 1.625
1-year Open Bond Fund 1.765 1.928
Shuang Li Bond Fund 0.915 1.138
Shuang Li A 1.022 1.094
Shuang Li B 1.246 1.404
HFT Pure Bond Fund C 1.317 2.329
HFT Pure Bond Fund A 1.328 2.369
MM Funds 2019-08-09
Fund Name Return Per
10K units
Annualized
7-day yield
Money Market A 0.5621 2.091%
Money Market B 0.6282 2.339%
HFT Liquid Money Market Fund A 0.0000 3.267%
HFT Liquid Money Market Fund B 0.0000 0.000%
Innovative Funds 2017-04-27
Fund Name NAV Cum.NAV
Profit Increase Bond 1.097 1.566
Preferred class(A) 1.150 1.150
Ordinary class(B) 1.690 1.690