95105828
Chinese GF International
GF US REIT Index (QDII)
Fund Code  000179 --
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Latest NAV(RMB)

--% Risk Category:
Daily % CHG Inception Date:2013-08-09 Fund Manager: LIU Jie

Performance Chart - NAV(RMB)

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  • Cumulative NAV
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  • Since Inception

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  • Key Facts
  • Overview
Performance
Calendar Year
YTD 1-W 1-M 3-M 6-M 1-Y 2-Y
Historic NAV
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Date NAV Cumulative NAV Daily CHG Daily % CHG
Portfolio Breakdown
Asset Class Breakdown

Total Asset:

Asset Class Amount (RMB 100 million) % of Total Asset
Sector Breakdown
Asset Class Amount (RMB 100 million) % of Total Asset
# Stock Code % of Total Asset Market Value(RMB)
# Bond Code % of Total Asset
Fund Manager
LIU Jie

Mr LIU Jie, Bachelor of Engineering, China's securities investment fund industry certificate holder. Previously he was the system development specialist of the IT Department of GF Fund Management, a research analyst of the quantity investment department, and the fund manager of GF CSI 300 Index Fund (between 1st April 2014 and 17th January 2016) and GF CSI Environmental Protection Industry Index (between 25th January 2016 and 25th April 2018). Currently he is the Assistant General Manager of Index Investment Department of GF Fund Management and manages: 

- GF CSI 500 Index ETF (since 1st April 2014);

- GF CSI 500 Index ETF (LOF) (since 1st April 2014);

- GF CSI 300 Index ETF (since 20th August 2015);

- GF CSI 300 Index ETF Fdr (since 18th January 2016);

- GF SME 300 Index ETF (since 25th January 2016);

- GF SME 300 Index ETF Fdr (since 25th January 2016);

- GF CSI Pension Industry Index Fund (since 25th January 2016);

- GF CSI Military Industry Fund ETF (since 30th January 2016);

- GF CSI Military Industry Fund ETF (LOF) (since 26th September 2016);

- GF CSI Environmental Protection Industry ETF (since 25th January 2017);

- GF GEM ETF (since 25th April 2017);

- GF GEM ETF Fdr (Since 25th May 2017);

- GF Quantitative Stable Mixed Fund (since 4th August 2017);

- GF CSI Environmental Protection Industry ETF (since 26th April 2018);

- GF S&P Global Agriculture Index Fund (since 6th August 2018);

- GF Dow Jones US Oil Index Fund (QDII-LOF) (since 6th August 2018);

- GF Hong Kong Connect Hang Seng Integrated Mid-Cap Index Fund (LOF) (since 6th August 2018); 

- GF US Real Estate Index Securities Investment Fund (since 6th August 2018);

- GF Nasdaq 100 ETF (since 6th August 2018); 

- GF Nasdaq 100 Index Fund (since 6th August 2018); 

- GF Nasdaq Biotech Index Fund (since 6th August 2018);

- GF Global Healthcare Index Fund (since 6th August 2018).

Funds Managed
Fund Code Fund Name Managed Days Since Returns
Fund Overview
Fund Name: GF US REIT Index (QDII) Fund Code: 000179
Fund Short Name: GF US REIT Index (QDII) Fund Company: GF Fund Management Co., Ltd.
Fund Manager: LIU Jie
Custodian Bank: Bank of China
Benchmark: MSCI US REIT Index
Risk-benefit Characteristics: The risks and benefits of the Fund are higher than those of money market funds, bond funds and hybrid funds, which are characterized by higher risks and higher expected returns.
Investment Scope:

The fund's investment scope is the MSCI US REIT Index (i.e. MSCI US Real Estate Investment Trust Index, English name is MSCI US REIT Index) constituent stocks, alternative constituent stocks, and index funds funded by MSCI US REIT Index (including ETFs), new shares (primary issuance or issuance of primary market), etc., including investment in MSCI US REIT index constituents, alternative constituent stocks and index funds (including ETFs) with MSCI US REIT index as investment targets the proportion is not less than 90% of the fund's assets, and the government bonds with cash or maturity within one year are not less than 5% of the fund's net asset value.

Investment Strategy: