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1.**Isn't it good**?
Judging from the past results, the trend is average, ordinary**.
2.Do you want to buy dividends?
Dividends mean to disrupt the existing pattern and sell the ** in your hands to re-open the position, in the bull market you want to find a large enough scale has not been eaten and ** good stocks are difficult, and now ** has reached 5300, at this time, the purpose of the dividend is very clear, to avoid risks. At this time, it is more dangerous to buy dividends.
3.If you have to buy dividends, will there be a better ** than this?
The answer is yes, the core of China Post as this year's famous brand base, will be dividends in early September, in September 10-14 to open the subscription, this base is many people are looking forward to, has suspended the purchase of **, although the dividend sales may not catch up with the suspension period, but and GF should be much better.
4.If you want to buy dividends, you also have to buy this dividend**, so when to buy?
As mentioned earlier, the purpose of this ** now dividend is obviously to avoid risks, that is to say, the short-term and late ** is not completely sure, ** managers see better than us, they want to avoid risks, that is to say, their heavy stocks may have the possibility of ** in the short term, at this time the subscription is not the same as the joy and sorrow, not to mention that even if the net value rises, you are equal to the extra handling fee, but it is a clear loss.
So. Recommendation 1It's better not to buy dividends**.
2.You can wait for the core of China Post.
3.After this ** dividend, the development is normal before considering subscribing.
In addition, some people say that there are many shares of low net worth, although this point of view is correct, but there is no difference between the high share of low net worth and the low share of high net worth, but the president of high net worth is better, and fear of high is one of the signs of immaturity of the people.
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Dividends are wool out of sheep, a ** good or bad, and it has no absolute relationship with dividends!
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Yes, you have to see how much red he scores for every 10 servings, and if he scores more, it's okay.
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Sino Analytica balances this only ** general, unit net value. Ranking in the last week: No. 262, ranking in the past month:
No. 154, Rank in the past quarter: No. 145, Rank in the past six months: No. 139, Rank in the past year:
The first 10,000 yuan, the first dividend and split have little to do with the people who subscribe to the purchase. It's just that for prospective subscribers, the net value of the ** unit will be reduced, and the share will be relatively large after subscription.
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Under normal circumstances, Sino Analytica's growth mix** 320007 will not lose debt.
**It is impossible to lose money and become a liability, but it may lose about 23 percent. Sino Analytica Growth Blend is a former performance champion, but in the last month**, the last week**. According to the 2019 annual report of Sino Analytica Growth Mix, during the reporting period, Sino Analytica Growth Blend**Net Worth**.
During the same period, the Shanghai Stock Exchange**, the ChiNext Index**, and the CSI 300**. Founded in December 2003, the company currently manages more than 60 open base socks.
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Hello everyone, financial management on the road, I am **Xiao Wanton Slippery White Furui, now let me introduce to you the Nuoan Growth Mix (320007)**, this ** has risen too fiercely, it has risen in a year, and I am full of happiness with a split year. I knew this** in March, when there was spare money began to pay attention to **, thinking that if it was a bear market, then it must be **bancassurance, so I had a heavy position in these**, the result has not risen, and it has also lost, at most it lost about 10%, at that time there were also cyclical stocks such as military industry, nonferrous metals, real estate, etc., all of which did not rise, at that time, the growth of Nuoan and the like** rose very high in 2019, and I didn't dare to invest, but I didn't expect it to rise by 85% in 2020, which is really terrible, It's much better than myself, and I only earned 10% in 3 months, and the yield is really miserable!
This **heavy position technology class**, are emerging industries such as 5G, chips, LEDs, semiconductors and the like**, and heavy positions, the top ten positions accounted for more than 90% of the highest proportion, and now the position is about 76%, it can be said that it can be speculated, **good times skyrocketing up 8% a day is normal, **bad times**, the maximum drawdown has reached more than 30%, it can be said that the risk is relatively large, if the mentality is not good, wait for the loss of 30% out of the game, then it will be a loss, I didn't expect it to rise again immediately.
The yield is quite amazing, the best in the bull market, and now it is far from the end, but it is not recommended to start again, you can play a little, **good is much, or choose a relatively low valuation** stable point, the risk is smaller.
From the perspective of risk warning, it is medium and high-risk, and the shareholding ratio has always been very high, which is worth continuing to pay attention to.
The holder structure is optimistic about institutions, and institutions once accounted for more than 20%, and they can continue to pay attention to it in the second half of the year.
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**It is impossible to lose money and become a liability, but it may lose about 23 percent.
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Calculation of unknown price: Unknown price, also known as price, refers to the price of various financial assets in the market on the same day, that is, the manager calculates the filial piety according to the price of the day.
Net asset value per unit. When this calculation method is implemented, investors do not know how much they buy and sell on the same day, and they will not know the ** of the unit ** until the next day.
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Ruoan****, 320003's latest**net worth is.
This ** is still relatively good, this year's income has reached 56%+ so far, and the performance of the past five years has been very good.
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On 10/19/07, the net value of Sino Analytica** (320001) was RMB, and by May 26, 2014, the net value of the product was RMB, and there was no dividend of the product after OCT/07. There are front-end and back-end options for the redemption fee of the product
First, if it is estimated according to the back-end fee, then the **share you get is 5,000 yuan = shares, then the share you hold now, each share, the market value is a total of yuan;
Second, if the front-end fee is estimated, the corresponding rate is, then the share you hold is 5,000 yuan (yuan * (1 + shares, then you now hold shares as shares, each share of yuan, the market value is a total of yuan.
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The net value is about 4420, about 1515 shares.
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1. Each ** share enjoys the same distribution right;
2. ** The income of the current year can only be distributed after making up for the loss of the previous year;
3. If there is a loss in the current period, no income distribution will be made;
4. After the distribution of income, the net value of the share shall not be lower than the par value;
5. Under the premise of meeting the relevant dividend conditions, the annual income distribution is at least once, and the maximum is six, and each income distribution is not less than 50% of the distributable income at that time, and if the contract is in effect for less than 3 months, the income distribution can not be carried out;
6. If the share holder does not clearly choose the income distribution method in advance, the distribution will be made by default in cash;
7. Without affecting the interests of investors, the manager may adjust the income distribution method at its discretion, and this adjustment does not need to be approved by the resolution of the general meeting of the share holders;
8. Where the Investment Law and other relevant laws and regulations or regulatory authorities provide otherwise, those provisions shall prevail.
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**Income distribution should follow the following principles: 1. Under the premise of meeting the relevant dividend conditions, the ** income will be distributed up to 6 times a year, and if the income is distributed, the income distribution ratio of each ** income shall not be less than 10% of the profit available for distribution on the base date of the income distribution; If the ** contract has been in effect for less than 3 months, no income distribution will be made. 2. Income distribution method:
1) During the insurance period: only cash dividends will be used as a income distribution method, and dividends will not be reinvested; (2) After the transformation: the income distribution method is divided into cash dividends and dividend reinvestment, investors can choose cash dividends or cash dividends will be automatically converted into **shares according to the net value of **shares on the ex-rights date; If the investor does not choose, the default income distribution method is cash dividends.
3. Each share of this ** enjoys the same distribution right. 4. The net value of each **share after the income distribution shall not be lower than the par value, that is, the net value of the **share on the base date of the income distribution shall not be lower than the par value after subtracting the income distribution amount per unit**. 5. **The current income should first make up for the accumulated losses of the previous period before the income can be distributed.
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