WebBosera Quantitative Balanced Fund: 0: 0.00%: 0: 0.00%: 12/31/21: expand. Institutions that own 603828. Name Shares Held % Shares Out Change In Shares % of Assets As of Date; Cinda Fund Management ... WebFind our live Bosera Balanced Allocation Mixed Type Fund fund basic information. View & analyze the 050007 fund chart by total assets, risk rating, Min. investment, market cap …
Bosera Asset Management - Wikipedia
http://www.bosera.com.hk/en-US/index WebBosera Balanced Optimization Hybrid Fund C: 1.0155 1.0155 1.14% Bosera Xin Xiang 1-Year Holding Period Hybrid Fund A: 1.0201 ... Bosera ESG Quant Selection Hybrid … Bosera Silk Road Theme Equity Fund A,001236,博时丝路主题股票A,博时丝 … Bosera Quantitative Balance Hybird Fund. ... Bosera Balanced Optimization Hybrid … Fund Code: 000219 Effective Date of the Contract July 29.2013: Investment … Bosera China 50ETF Feeder Fund A,001237,博时上证50ETF联接A,博时 … Credit Market Fixed-income Securities Fund Fund Code: 050011(Class … Bosera Yurui Core Bond Fund,001578,博时裕瑞纯债债券,博时裕瑞纯债债券 ... Bosera Quantitative Balance Hybird Fund. Bosera Emerging Comsuption Hybrid … Bosera Quantitative Balance Hybird Fund. Bosera Emerging Comsuption Hybrid … One-year Interval Bond Fund Fund Code: 000200 Effective Date of the Contract … Bosera CSI Central-SOEs Structural Reform ETF,512960,博时央企结构调 … hyundai kona electric sport utility vehicle
KraneShares Bosera MSCI China A 50 Connect Index ETF
WebBosera is an asset management company that provides professional investment services for clients, with business covering fund raising, fund distribution, asset management and any other businesses permitted by China Securities Regulatory Commission. WebCompany profile for Zhejiang Qianjiang Biochemical Co. Ltd. A including key executives, insider trading, ownership, revenue and average growth rates. View detailed 600796.CN description & address. WebWith ample of liquidity, the Bosera USD Money Market Fund supports daily redemptions, which provides investors with additional flexibility when making asset allocation decisions. Class I USD. 10.3185 (+ 0.07%) NAV and 1 Day NAV Change as of 11-Apr-2024. Learn More. More Solutions for ETF Investors. molly j bathing suits