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Last week a collection of financial products broker performance differentiation serious _ Finance
WASHINGTON, according to Securities Times reporter Shun Wu Qinghua Securities statistics, stock brokerages last week, a collection of financial products are all made gains, but the performance of the product differentiation serious. In addition, last week released four new set of financial products, the design of the product costs are fixed only extracting management fees, performance pay is not extracted. Product differentiation serious secondary market yield, the steady rise of the stock market last week, the domestic macro-economic data and other information into the vacuum, but have some overseas markets, driving up the role, particularly in commodity prices, driven by non-ferrous metals industry resource outstanding performance and coal industries, the Shanghai index rose 7.15% week. Stock broker last week in the best set of financial products is the financial value of gold increased Guoxin, net weekly gain of 5.05%, the worst of the Shanghai Securities Banking 1, only 0.66%; mixed set of financial products broker While there has been positive returns,[link widoczny dla zalogowanych], but gains were larger gap; has published a collection of FOF type of financial product brokerage income is not ideal, not from the average rate of return and look at hybrid funds, large differences in income between different products,[link widoczny dla zalogowanych], the East China Sea wind rose 2 top. Last week a collection of plans bond yields remained stable prices. Shun Securities researcher analysis, due to news of any new stimulus, the bond market to do more, short of power for less than the market rate of return overall slight decline in the consolidation phase. New hair products do not extract the performance pay last week released four new products are 8 years duration, the target total issue amount of 21 billion yuan. Since last November, newly issued bonds products surged, accounting for up to 53%. CITIC Securities \It should be noted that, in terms of costs, the four charged only a fixed set of program management fees, not extraction of performance pay. Volatility than securities of similar funds, according to EMC stock for 2005-2008, a collection of hybrid and financial plan and the bond yield for the Fund's statistics show that the stock bull market period (2006-2007), stock-based collection financial plan and the fund's average rate of return is insignificant,[link widoczny dla zalogowanych], a collection of hybrid gap between planning and fund up to 50%; but in the bear market (2008), a collection of stocks and mixed performance of financial planning were significantly better than the stock type and hybrid funds, the difference was 8% and 18%. Clearly,[link widoczny dla zalogowanych], the pursuit of the net value of the relative ranking of the fund volatility was significantly higher than brokerage collection plan.
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