GF S&T IT Flex All Mix LOF logo

GF S&T IT Flex All Mix LOF (501078)

Market Closed
11 Aug, 06:57
SSE SSE
¥
3. 03
-0.02
-0.6885%
¥
115.84M Market Cap
1% Div Yield
0 Volume
¥ 3.05
Previous Close
Add Transaction
Day Range
3 3.11
Year Range
2.02 3.4
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Summary

501078 closed today lower at ¥3.03, a decrease of -0.6885% from yesterday's close, completing a monthly decrease of -9.2298% or -¥0.31. Over the past 12 months, 501078 stock gained 26.7895%.
501078 pays dividends to its shareholders, with the most recent payment made on Dec 07, 2022.
The stock of the company had never split.
The company's stock is traded on one exchange.

501078 Chart

GF S&T IT Flex All Mix LOF (501078) FAQ

What is the stock price today?

The current price is ¥3.03.

On which exchange is it traded?

GF S&T IT Flex All Mix LOF is listed on SSE.

What is its stock symbol?

The ticker symbol is 501078.

Does it pay dividends? What is the current yield?

Yes, It pays dividends and the current yield is 1%.

What is its market cap?

As of today, the market cap is 115.84M.

Has GF S&T IT Flex All Mix LOF ever had a stock split?

No, there has never been a stock split.

GF S&T IT Flex All Mix LOF Profile

SSE Exchange
China Country

Overview

GF S&T IT Flex All Mix LOF is an innovative open-end investment fund that specializes in offering a diversified and flexible investment strategy to its clients. Operating within the domain of flexible mixed strategies, the fund is dedicated to maximally exploiting the potential of various asset classes, including equities, fixed income, and alternative investments. Its main objective is to maximize total returns for investors by judiciously balancing risk and opportunity across different market conditions. The adaptability of GF S&T IT Flex All Mix LOF to the ever-changing market dynamics, underscored by an active management approach, positions it as a significant player in the financial market. It appeals to investors seeking a balanced risk-return profile through a comprehensive investment solution capable of navigating the volatility of equity markets, while also harvesting stable income from bonds. This renders the fund an integral component in diversification strategies for portfolios, attracting a wide spectrum of investors interested in both capital appreciation and asset preservation.

Products and Services

GF S&T IT Flex All Mix LOF provides a variety of investment solutions designed to cater to the diverse needs of its clientele, focusing primarily on asset diversification and flexibility:

  • Equities Investment

    The fund invests in a wide range of equities across different sectors and geographies, targeting capital appreciation. By incorporating equities into its portfolio, GF S&T IT Flex All Mix LOF aims to leverage the growth potential of the equity markets, adjusting its exposure based on market outlook and economic indicators. This active management approach towards equities allows the fund to optimize returns while managing the inherent risks of stock market investments.

  • Fixed Income Investment

    Another cornerstone of the fund's strategy is its investment in fixed income securities, which includes bonds and other debt instruments. This component is crucial for providing the portfolio with a stable income stream, mitigating the volatility associated with equities. The fund's managers meticulously select fixed income assets that offer the best risk-reward ratio, considering factors such as credit risk, interest rate movements, and inflation trends. Through its fixed income investments, GF S&T IT Flex All Mix LOF aims to ensure a measure of safety and predictability within its diversified portfolio.

  • Alternative Investments

    In its quest for diversification and optimal risk-adjusted returns, the fund may also allocate assets to alternative investments. This category can include real estate, commodities, and hedge funds among others, providing additional avenues for portfolio growth and income. Alternative investments are often less correlated with traditional equities and fixed income markets, offering potential benefits in terms of diversification and risk management. The allocation to alternative assets is carefully calibrated based on comprehensive market analysis and strategic investment insights, enabling the fund to enhance its overall performance while navigating different market conditions efficiently.

Contact Information

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