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银河嘉祥混合C(004660)公告正文

银河嘉祥混合:2017年第四季度报告

公告日期 2018-01-18 来源 巨潮网

银河嘉祥灵活配置混合型证券投资基金
        2017 年第 4 季度报告

                 2017 年 12 月 31 日




     基金管理人:银河基金管理有限公司

     基金托管人:中信银行股份有限公司

     报告送出日期:2018 年 1 月 18 日
                                                                 银河嘉祥混合 2017 年第 4 季度报告



                                    §1 重要提示
   基金管理人的董事会及董事保证本报告所载资料不存在虚假记载、误导性陈述或重大遗漏,

并对其内容的真实性、准确性和完整性承担个别及连带责任。

   基金托管人中信银行股份有限公司根据本基金合同规定,于 2018 年 1 月 17 日复核了本报告

中的财务指标、净值表现和投资组合报告等内容,保证复核内容不存在虚假记载、误导性陈述或

者重大遗漏。

   基金管理人承诺以诚实信用、勤勉尽责的原则管理和运用基金资产,但不保证基金一定盈利。

   基金的过往业绩并不代表其未来表现。投资有风险,投资者在作出投资决策前应仔细阅读本

基金的招募说明书。

   本报告中财务资料未经审计。

   本报告期自 2017 年 10 月 1 日起至 12 月 31 日止。

                                 §2 基金产品概况
 基金简称                                    银河嘉祥混合
 场内简称                                    -
 交易代码                                    004659
 基金运作方式                                契约型开放式
 基金合同生效日                              2017 年 9 月 8 日
 报告期末基金份额总额                        99,658,139.59 份
                                             本基金在合理控制风险的前提下,在深入的基本
                                             面研究的基础上,通过灵活的资产配置、策略配
 投资目标                                    置与严谨的风险管理,分享中国在加快转变经济
                                             发展方式的过程中所孕育的投资机遇,追求实现
                                             基金资产的持续稳定增值。
                                             本基金通过合理稳健的资产配置策略,将基金资
                                             产在权益类资产和固定收益类资产之间灵活配
                                             置,同时采取积极主动的股票投资和债券投资策
 投资策略
                                             略,把握中国经济增长和资本市场发展机遇,严
                                             格控制下行风险,力争实现基金份额净值的长期
                                             平稳增长。
                                             上证国债指数收益率×50%+沪深 300 指数收益率
 业绩比较基准
                                             ×50%。
                                             本基金为混合型基金,其风险收益水平高于货币
 风险收益特征
                                             市场基金和债券型基金,低于股票型基金。
 基金管理人                                  银河基金管理有限公司
 基金托管人                                  中信银行股份有限公司
 基金保证人                                  -
 下属分级基金的基金简称                      银河嘉祥混合 A              银河嘉祥混合 C

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                                                                   银河嘉祥混合 2017 年第 4 季度报告


 下属分级基金的场内简称                        -                           -
 下属分级基金的交易代码                        004659                      004660
 下属分级基金的前端交易代码                    -                           -
 下属分级基金的后端交易代码                    -                           -
 报告期末下属分级基金的份额总额                231,665.84 份               99,426,473.75 份
 下属分级基金的风险收益特征                    -                           -




                           §3 主要财务指标和基金净值表现


3.1 主要财务指标

                                                                                  单位:人民币元
            主要财务指标              报告期( 2017 年 10 月 1 日 - 2017 年 12 月 31 日 )
                                                     银河嘉祥混合 A              银河嘉祥混合 C
1.本期已实现收益                                           8,002.77                 2,456,025.77
2.本期利润                                                18,453.99                 5,719,677.85
3.加权平均基金份额本期利润                                   0.0585                       0.0553
4.期末基金资产净值                                       244,044.96             105,016,750.17
5.期末基金份额净值                                           1.0534                       1.0562




3.2 基金净值表现


3.2.1 本报告期基金份额净值增长率及其与同期业绩比较基准收益率的比较
                                       银河嘉祥混合 A
              净值增长   净值增长率   业绩比较基         业绩比较基准收
  阶段                                                                      ①-③       ②-④
                率①       标准差②   准收益率③           益率标准差④
 过去三个
                 5.65%        0.72%          2.60%                0.40%        3.05%        0.32%
       月
                                       银河嘉祥混合 C
              净值增长   净值增长率   业绩比较基         业绩比较基准收
  阶段                                                                     ①-③        ②-④
                率①       标准差②   准收益率③           益率标准差④
 过去三个
                 5.46%        0.72%          2.60%                0.40%        2.86%        0.32%
       月




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                                                  银河嘉祥混合 2017 年第 4 季度报告



3.2.2 自基金合同生效以来基金累计净值增长率变动及其与同期业绩比较基准收益率
变动的比较




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                                                                 银河嘉祥混合 2017 年第 4 季度报告




注:1、本基金合同于 2017 年 9 月 8 日生效,截至报告日本基金合同生效未满一年。

2、按基金合同规定,基金管理人应当自基金合同生效之日起 6 个月内使基金的投资组合比例符合

基金合同的有关约定:本基金股票资产投资比例为基金资产的 0%-95%;本基金每个交易日日终在

扣除股指期货合约、国债期货合约需缴纳的交易保证金后,保持不低于基金资产净值的 5%的现金

或者到期日在一年以内的政府债券。权证的投资比例不超过基金资产净值的 3%,股指期货、国债

期货及其他金融工具的投资比例依照法律法规或监管机构的规定执行。本基金目前仍处于建仓期。




3.3 其他指标
注:无。



                                 §4 管理人报告


4.1 基金经理(或基金经理小组)简介

    姓名       职务    任本基金的基金经理期限         证券从业                 说明
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                                                           银河嘉祥混合 2017 年第 4 季度报告


                任职日期        离任日期            年限
                                                            中共党员,经济学硕士,15
                                                            年证券从业经历,曾就职于
                                                            中国民族证券有限责 任公
                                                            司,期间从事交易清算、产
                                                            品设计、投资管理等工作。
                                                            2008 年 6 月加入银河基金管
                                                            理有限公司,先后担任债券
                                                            经理助理、债券经理 等职
                                                            务。现任固定收益部总监、
                                                            基金经理。2011 年 8 月起担
                                                            任银河银信添利债券 型证
                                                            券投资基金的基金经 理,
                                                            2012 年 11 月起担任银河领
                                                            先债券型证券投资基 金的
                                                            基金经理,2014 年 7 月起担
                                                            任银河收益证券投资 基金
                                                            的基金经理,2015 年 6 月起
                                                            担任银河鸿利灵活配 置混
                                                            合型证券投资基金的 基金
                                                            经理,2016 年 3 月起担任银
                                                            河润利保本混合型证 券投
       基金经   2017 年 9                                   资基金的基金经理、银河丰
韩晶                        -                  15
       理       月8日                                       利纯债债券型证券投 资基
                                                            金的基金经理,2016 年 5 月
                                                            起担任银河旺利灵活 配置
                                                            混合型证券投资基金 的基
                                                            金经理,2016 年 11 月起担
                                                            任银河君耀灵活配置 混合
                                                            型证券投资基金的基 金经
                                                            理,2016 年 12 月起担任银
                                                            河君怡纯债债券型证 券投
                                                            资基金的基金经理、银河君
                                                            盛灵活配置混合型证 券投
                                                            资基金的基金经理、银河君
                                                            润灵活配置混合型证 券投
                                                            资基金的基金经理、银河睿
                                                            利灵活配置混合型证 券投
                                                            资基金的基金经理,2017 年
                                                            3 月起担任银河君腾灵活配
                                                            置混合型证券投资基 金的
                                                            基金经理、银河君欣纯债债
                                                            券型证券投资基金的 基金
                                                            经理、银河犇利灵活配置混
                                                            合型证券投资基金的 基金
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                                                    银河嘉祥混合 2017 年第 4 季度报告


                                                     经理,2017 年 4 月起担任银
                                                     河君辉 3 个月定期开放债券
                                                     型发起式证券投资基 金的
                                                     基金经理、银河通利债券型
                                                     证券投资基金(LOF)的基金
                                                     经理、银河增利债券型发起
                                                     式证券投资基金的基 金经
                                                     理、银河强化收益债券型证
                                                     券投资基金的基金经 理,
                                                     2017 年 9 月起担任银河嘉祥
                                                     灵活配置混合型证券 投资
                                                     基金的基金经理。
                                                     硕士研究生学历,11 年证券
                                                     从业经历。曾先后在星展银
                                                     行(中国)有限公司、中宏人
                                                     寿保险有限公司工作。2016
                                                     年 4 月加入银河基金管理有
                                                     限公司,就职于固定 收益
                                                     部。2016 年 8 月起担任银河
                                                     岁岁回报定期开放债 券型
                                                     证券投资基金的基金经理、
                                                     银河旺利灵活配置混 合型
                                                     证券投资基金的基金经理、
                                                     银河鸿利灵活配置混 合型
                                                     证券投资基金的基金经理、
                                                     银河银信添利债券型 证券
                                                     投资基金的基金经理、银河
                                                     领先债券型证券投资 基金
       基金经   2017 年 9
蒋磊                        -                  11    的基金经理,2017 年 1 月起
       理       月8日
                                                     担任银河君怡纯债债 券型
                                                     证券投资基金的基金经理、
                                                     银河睿利灵活配置混 合型
                                                     证券投资基金的基金经理,
                                                     2017 年 3 月起担任银河君欣
                                                     纯债债券型证券投资 基金
                                                     的基金经理,2017 年 4 月起
                                                     担任银河君辉 3 个月定期开
                                                     放债券型发起式证券 投资
                                                     基金的基金经理、银河通利
                                                     债券型证券投资基金(LOF)
                                                     的基金经理、银河增利债券
                                                     型发起式证券投资基 金的
                                                     基金经理、银河强化收益债
                                                     券型证券投资基金的 基金
                                                     经理,2017 年 9 月起担任银
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                                                          银河嘉祥混合 2017 年第 4 季度报告


                                                              河嘉祥灵活配置混合 型证
                                                              券投资基金的基金经理。
                                                              中共党员,博士研究 生学
                                                              历,12 年证券从业经历。曾
                                                              就职于华夏银行,中信万通
                                                              证券有限公司,期间从事企
                                                              业金融、投资银行业务及上
                                                              市公司购并等工作。2006 年
                                                              2 月加入银河基金管理有限
                                                              公司,历任产品设计经理、
                                                              衍生品数量化投资研究员、
                                                              行业研究员等职务,现担任
                                                              基金经理。2009 年 12 月起
                                                              担任银河沪深 300 价值指数
             基金经   2017 年 9
罗博                              -                  12       证券投资基金的基金经理,
             理       月 16 日
                                                              2013 年 3 月起担任银河沪深
                                                              300 成长增强指数分级证券
                                                              投资基金的基金经理,2014
                                                              年 3 月担任银河定投宝中证
                                                              腾讯济安价值 100A 股指数
                                                              型发起式证券投资基 金的
                                                              基金经理,2016 年 12 月起
                                                              担任银河君尚灵活配 置混
                                                              合型证券投资基金的 基金
                                                              经理,2017 年 9 月起担任银
                                                              河嘉祥灵活配置混合 型证
                                                              券投资基金的基金经理。
注:1、上表中韩晶、蒋磊的任职日期为基金合同生效之日,罗博的任职日期为我公司做出决定之

日。

2、证券从业年限按其从事证券相关行业的从业经历累计年限计算。


4.2 管理人对报告期内本基金运作遵规守信情况的说明
    本报告期内,本基金管理人严格遵守《证券法》、《证券投资基金法》、《基金合同》和其

他有关法律法规的规定,本着“诚实信用、勤奋律己、创新图强”的原则管理和运用基金资产,

在合法合规的前提下谋求基金资产的保值和增值,努力实现基金份额持有人的利益,无损害基金

份额持有人利益的行为,基金投资范围、投资比例及投资组合符合有关法规及基金合同的规定。

    随业务的发展和规模的扩大,本基金管理人将继续秉承“诚信稳健、勤奋律己、创新图强”

的理念,严格遵守《证券法》、《证券投资基金法》等法律法规的规定,进一步加强风险管理和

完善内部控制体系,为基金份额持有人谋求长期稳定的回报。

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                                                           银河嘉祥混合 2017 年第 4 季度报告




4.3 公平交易专项说明


4.3.1 公平交易制度的执行情况
    本报告期内,公司旗下管理的所有投资组合严格执行相关法律法规及公司制度,在授权管理、

研究分析、投资决策、交易执行、行为监控等方面对公平交易制度予以落实,确保公平对待不同

投资组合。同时,公司针对不同投资组合的整体收益率差异以及分投资类别(股票、债券)的收

益率差异进行了分析。

    针对同向交易部分,本报告期内,公司对旗下管理的所有投资组合(完全复制的指数基金除

外),连续四个季度期间内、不同时间窗下(日内、3 日内、5 日内)公开竞价交易的证券进行了

价差分析,并针对溢价金额、占优比情况及显著性检验结果进行了梳理和分析,未发现重大异常

情况。

    针对反向交易部分,公司对旗下不同投资组合临近日的反向交易(包括股票和债券)的交易

时间、交易价格进行了梳理和分析,未发现重大异常情况。本报告期内,不存在所有投资组合参

与的交易所公开竞价同日反向交易成交较少的单边成交量超过该证券当日成交量的 5%的情况(完

全复制的指数基金除外)。

    对于以公司名义进行的一级市场申购等交易,各投资组合经理均严格按照制度规定,事前确

定好申购价格和数量,按照价格优先、比例分配的原则对获配额度进行分配。



4.3.2 异常交易行为的专项说明
    本报告期内,未发现本基金与其他投资组合之间有可能导致不公平交易和利益输送的异常交

易。


4.4 报告期内基金投资策略和运作分析
    四季度,上证综指下跌 1.25%,沪深 300 上涨 5.07%,创业板综指下跌 9.45%。在此期间,海

外恒生指数上涨 8.58%,纳斯达克指数上涨 6.27%。

    四季度操作回顾:

    四季度,基金仓位一直维持在高于 90%的水平。

    对四季度的预判:对市场中期不悲观,短期谨慎,特别是在动量因子负贡献的情况下,主要

防范前期强势品种的回调,但是对经济的复苏不悲观,这些优势板块的回调,或许为明年的提前

布局提供了机会。

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                                                                    银河嘉祥混合 2017 年第 4 季度报告




4.5 报告期内基金的业绩表现
       截至本报告期末银河嘉祥混合 A 基金份额净值为 1.0534 元,本报告期基金份额净值增长率为

5.65%;截至本报告期末银河嘉祥混合 C 基金份额净值为 1.0562 元,本报告期基金份额净值增长

率为 5.46%;同期业绩比较基准收益率为 2.60%。


4.6 报告期内基金持有人数或基金资产净值预警说明
       本基金本报告期内未发生连续二十个工作日出现基金份额持有人数量不满二百人或者基金资

产净值低于五千万元的情形。



                                   §5 投资组合报告


5.1 报告期末基金资产组合情况

 序号                   项目                    金额(元)            占基金总资产的比例(%)
   1       权益投资                                 99,537,659.99                            93.45
           其中:股票                               99,537,659.99                            93.45
   2       基金投资                                             -                                 -
   3       固定收益投资                              5,705,300.00                             5.36
           其中:债券                                5,705,300.00                             5.36
           资产支持证券                                         -                                 -
   4       贵金属投资                                           -                                 -
   5       金融衍生品投资                                       -                                 -
   6       买入返售金融资产                                     -                                 -
           其中:买断式回购的买入返售
                                                                -                                 -
           金融资产
   7       银行存款和结算备付金合计                  1,013,193.73                             0.95
   8       其他资产                                    261,133.06                             0.25
   9       合计                                   106,517,286.78                            100.00




5.2 报告期末按行业分类的股票投资组合


5.2.1 报告期末按行业分类的境内股票投资组合
 代码                 行业类别                 公允价值(元)          占基金资产净值比例(%)
  A        农、林、牧、渔业                                     -                                 -

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                                                                    银河嘉祥混合 2017 年第 4 季度报告


    B    采矿业                                  2,231,455.60                                 2.12
    C    制造业                                 40,224,280.95                                38.21
         电力、热力、燃气及水生产和供
    D                                            2,294,471.20                                 2.18
         应业
    E    建筑业                                  3,781,406.00                                 3.59
    F    批发和零售业                            1,164,406.00                                 1.11
    G    交通运输、仓储和邮政业                  3,151,749.43                                 2.99
    H    住宿和餐饮业                               342,274.00                                0.33
         信息传输、软件和信息技术服务
    I                                            5,574,372.62                                 5.30
         业
    J    金融业                                 33,421,115.93                                31.75
    K    房地产业                                5,411,812.26                                 5.14
    L    租赁和商务服务业                        1,109,937.00                                 1.05
    M    科学研究和技术服务业                       140,140.00                                0.13
    N    水利、环境和公共设施管理业                 651,920.00                                0.62
    O    居民服务、修理和其他服务业                            -                                  -
    P    教育                                                  -                                  -
    Q    卫生和社会工作                                        -                                  -
    R    文化、体育和娱乐业                                    -                                  -
    S    综合                                           38,319.00                             0.04
         合计                                   99,537,659.99                                94.56




 5.2.2 报告期末按行业分类的港股通投资股票投资组合
注:本基金本报告期末未持有港股通股票。



 5.3 报告期末按公允价值占基金资产净值比例大小排序的前十名股票投资明细
                                                                                    占基金资产净
  序号          股票代码       股票名称     数量(股)        公允价值(元)
                                                                                    值比例(%)
    1                 601318    中国平安         125,174        8,759,676.52                   8.32
    2                 600519    贵州茅台           7,206        5,026,112.94                   4.77
    3                 000333    美的集团          80,514        4,462,891.02                   4.24
    4                 601288    农业银行         925,713        3,545,480.79                   3.37
    5                 600036    招商银行         114,400        3,319,888.00                   3.15
    6                 600332      白云山          84,210        2,706,509.40                   2.57
    7                 000338    潍柴动力         324,327        2,704,887.18                   2.57
    8                 601328    交通银行         421,900        2,619,999.00                   2.49
    9                 601166    兴业银行         148,200        2,517,918.00                   2.39
   10                 601628    中国人寿          72,527        2,208,447.15                   2.10




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 5.4 报告期末按债券品种分类的债券投资组合
 序号                债券品种                    公允价值(元)             占基金资产净值比例(%)
  1       国家债券                                        5,391,900.00                             5.12
  2       央行票据                                                     -                              -
  3       金融债券                                                     -                              -
          其中:政策性金融债                                           -                              -
  4       企业债券                                                     -                              -
  5       企业短期融资券                                               -                              -
  6       中期票据                                                     -                              -
  7       可转债(可交换债)                                   313,400.00                          0.30
  8       同业存单                                                     -                              -
  9       其他                                                         -                              -
  10      合计                                            5,705,300.00                             5.42




 5.5 报告期末按公允价值占基金资产净值比例大小排序的前五名债券投资明细
                                                                                     占基金资产净值
  序号           债券代码       债券名称       数量(张)        公允价值(元)
                                                                                       比例(%)
      1               019563    17 国债 09            54,000        5,391,900.00                  5.12
      2               128024     宁行转债              3,134          313,400.00                  0.30




 5.6 报告期末按公允价值占基金资产净值比例大小排序的前十名资产支持证券投资明
 细
 注:本基金本报告期末未持有资产支持证券。


 5.7 报告期末按公允价值占基金资产净值比例大小排序的前五名贵金属投资明细
 注:本基金本报告期末未持有贵金属。


 5.8 报告期末按公允价值占基金资产净值比例大小排序的前五名权证投资明细
 注:本基金本报告期末未持有权证。


 5.9 报告期末本基金投资的股指期货交易情况说明


 5.9.1 报告期末本基金投资的股指期货持仓和损益明细
注:本基金报告期内未持有股指期货合约。


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                                                             银河嘉祥混合 2017 年第 4 季度报告



 5.9.2 本基金投资股指期货的投资政策
 本基金未对股指期货进行投资。


 5.10 报告期末本基金投资的国债期货交易情况说明


 5.10.1 本期国债期货投资政策
        本基金未投资国债期货。



 5.10.2 报告期末本基金投资的国债期货持仓和损益明细
注:本基金未投资国债期货。



 5.10.3 本期国债期货投资评价
        本基金未投资国债期货。

 5.11 投资组合报告附注


 5.11.1
        本基金投资的前十名证券中,没有发行主体被监管部门立案调查的情形,在报告编制日前一

 年内也没有受到公开谴责、处罚的情形。



 5.11.2
        报告期内本基金投资的前十名股票没有超出基金合同规定的备选股票库之外的股票。



 5.11.3 其他资产构成
  序号                名称                               金额(元)
    1      存出保证金                                                          121,400.58
    2      应收证券清算款                                                                  -
    3      应收股利                                                                        -
    4      应收利息                                                            119,732.48
    5      应收申购款                                                            20,000.00
    6      其他应收款                                                                      -
    7      待摊费用                                                                        -
    8      其他                                                                            -
    9      合计                                                                261,133.06



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5.11.4 报告期末持有的处于转股期的可转换债券明细
注:本基金本报告期末未持有处于转股期的可转换债券。

5.11.5 报告期末前十名股票中存在流通受限情况的说明
                                          流通受限部分      占基金资
序号       股票代码           股票名称    的公允价值        产净值比     流通受限情况说明
                                              (元)          例(%)
1                600332          白云山    2,706,509.40          2.57          重大事项停牌




5.11.6 投资组合报告附注的其他文字描述部分
    因四舍五入原因,投资组合报告中市值占净值比例的分项之和与合计可能存在尾差。

                              §6 开放式基金份额变动
                                                                                      单位:份
               项目                           银河嘉祥混合 A              银河嘉祥混合 C
报告期期初基金份额总额                                    370,665.10        105,278,662.76
报告期期间基金总申购份额                                    1,453.47             897,919.29
减:报告期期间基金总赎回份额                               140,452.73           6,750,108.30
报告期期间基金拆分变动份额(份额减
                                                                  -                         -
少以"-"填列)
报告期期末基金份额总额                                    231,665.84          99,426,473.75




               §7 基金管理人运用固有资金投资本基金情况


7.1 基金管理人持有本基金份额变动情况

注:本报告期基金管理人未运用固有资金投资本基金。

7.2 基金管理人运用固有资金投资本基金交易明细
注:本报告期基金管理人未运用固有资金投资本基金。




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                          §8 影响投资者决策的其他重要信息


     8.1 报告期内单一投资者持有基金份额比例达到或超过 20%的情况

投                      报告期内持有基金份额变化情况                       报告期末持有基金情况

者          持有基金份额比例达到
   序                                   期初          申购     赎回                           份额占
类          或者超过 20%的时间区                                              持有份额
   号                                   份额          份额     份额                             比
别                   间

      1    2017/10/01-2017/12/31 99,058,982.00 0.00 1,036,523.00 98,022,459.00 98.36%

个    -    -                                      -        -           -                  -         -


                                          产品特有风险

本基金在报告期内存在单一投资者持有基金份额比例达到或者超过基金总份额 20%的情形,在市场流
动性不足的情况下,如遇投资者巨额赎回或集中赎回,基金管理人可能无法以合理的价格及时变现
基金资产,有可能对基金净值产生一定的影响,甚至可能引发基金的流动性风险。


     8.2 影响投资者决策的其他重要信息
          无。



                                     §9 备查文件目录


     9.1 备查文件目录

          1、中国证监会批准设立银河嘉祥灵活配置混合型证券投资基金的文件

          2、《银河嘉祥灵活配置混合型证券投资基金基金合同》

          3、《银河嘉祥灵活配置混合型证券投资基金托管协议》

          4、中国证监会批准设立银河基金管理有限公司的文件

          5、银河嘉祥灵活配置混合型证券投资基金财务报表及报表附注

          6、报告期内在指定报刊上披露的各项公告




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                                                          银河嘉祥混合 2017 年第 4 季度报告



9.2 存放地点
   中国(上海)自由贸易试验区世纪大道 1568 号中建大厦 15 层


9.3 查阅方式
   投资者对本报告书如有疑问,可咨询本基金管理人银河基金管理有限公司。

   咨询电话:(021)38568888 /400-820-0860

   公司网址:http://www.galaxyasset.com




                                                              银河基金管理有限公司
                                                                    2018 年 1 月 18 日




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