Shanghai and Shenzhen CSI 300 Index Fund

Product Summary

Investment Objective
The fund adopts a passive investment strategy and closely tracks the underlying index to strive to control the absolute value of the average daily tracking deviation of the fund’s share net worth growth rate and performance benchmark return not to exceed 0.35%.

Investment Scope
The investment scope of the Fund is mainly the constituent stocks of the CSI 300 Index. In addition, in order to better achieve investment objectives, the Fund may also invest in a small amount in other stocks The Fund’s investment in the CSI 300 Index constituent stocks and alternative constituent stocks should have an asset ratio of not less than 90% of the fund’s net asset value. The Fund’s end of trading day should be maintained after deducting the trading deposits required for stock index futures contracts Cash not less than 5% of the fund’s net asset value (excluding settlement reserves, deposits, receivables, etc.) or government bonds with maturity within one year. The construction of the stock investment portfolio is mainly based on the composition and weight of the underlying index component stocks to fit and replicate the underlying index.

View full prospectus (in Chinese)

Fund Facts

Fund Type

,

Risk Level*

Agressive

Minimum Investment

¥1000

Open Date

2012-3-9

Fund Manager

周健 Zhou Jian

Fund Custodian

China Construction Bank

Fund Advisor

Soochow Asset Management Co., Ltd.

Annual Expense Ratio**

0.62%

Purchase Fee

1.2%

Redemption Fee

<30 days – 0.75%, 180 days, 0%

* More info on risk.

** Expense ratio amounts are already included in the return and daily value figures listed. More info on fees.

Current Price

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Asset Distribution

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Recent Performance

Time PeriodAverage Return
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Top 10 Holdings

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