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    Debt Base Since May Dividend Over 500 Million &Nbsp; Recent Dividend List

    2010/6/25 16:03:00 27

    Stock Market Finance

    Debt base dividends amounted to 15, the main ingredient was red, while the stock market was only 5.


    Recently, the people's livelihood plus silver strong debt.

    fund

    After each 10 sent 0.3 yuan bonus, these two days BAOYING enhanced income, China and Europe healthy income and so on many bond funds also announced dividend, at this point, since May, the bonus debt has reached 15, while the same time partial stock fund dividends only 5.

    Obviously, under the background of sharp adjustment of stock market, debt base has become the main force of dividends.


    stay

    Bond Fund

    Behind the big dividends is a strong bond market relative to the stock market this year, and many bond funds yield quite well.

    According to the Galaxy Securities Fund Research Center statistics, as of June 18th, nearly 90% of bond funds have achieved positive returns this year, the average yield of 64 first tier debt bases is 2.31%, and the average yield of 55 two level debt bases is 1.36%.

    Among them, the recent implementation of the dividends of the people's livelihood strong debt fund (class a share), with 3.97% of the positive return, ranked fourth in the 55 tier two debt base, outstanding performance.


    The good performance of the debt base has also promoted the approval and issuance of the fund. Next week, the market will usher in the broad time macro Return Bond Fund, which will be the three debt base of the company.

    The fund is a two class debt base. It adopts an indexing investment strategy in fixed income assets investment, and applies a more sophisticated stratified sampling replication technology to reduce fixed income assets.

    Non systemic risk


    However, the bond market has been rising for more than half a year. Is there any chance for the future market? Le Ruiqi, manager of the people's livelihood strong bond fund, said that the interest rate hike is expected to cool down and the inflation risk will be suppressed, which will benefit the bond market.

    Mr. PI min, an appointed fund manager of the macro Return Bond Fund, said he would choose suitable asset classes according to the different economic cycle stages.

    If we judge that the economy is in recession, then the asset class is mainly bonds. If we judge that the economy is in a recovery period, we should try to increase the proportion of equity assets investment.


    Summary of recent dividend payments on some debt bases


    Implementation date of dividends (yuan /10 copies)


    Huafu gains increased 0.206, 29


    Steady gains in China and Europe 0.406 / 29


    BAOYING enhanced revenue 0.396, 29


    Dacheng bond 0.106 / 29


    Livelihood plus silver increased revenue 0.306, 24


    Jianxin steadily increased profits for 0.206 months and 17 days

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