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صندوق إي فان دا يحقق صافي ربح قدره 3.806 مليار يوان في عام 2025، ويظل في المرتبة الأولى في القطاع
30 March 2025, GF Securities released its 2025 performance report. GF Securities holds 22.65% equity in E Fund. As of end-2025, E Fund’s total assets were RMB 32.12B, net assets were RMB 21.16B, operating revenue was RMB 12.4B, and net profit was RMB 3.81B.
E Fund maintains leading research and investment capabilities. As of end-December 2025, among public funds with money market funds excluded, the managed scale of E Fund was positioned at No. 1 in the industry, respectively.
The announcement also states that E Fund is one of the investment managers for the National Social Security Fund and basic pension insurance funds. It also provides asset management services to insurance companies, financial companies, corporate annuity, other institutional investors, and the general investing public. In addition, E Fund may raise funds within China and invest in overseas capital markets through QDII. It may also invest funds raised overseas into China’s domestic capital markets through its wholly owned subsidiary, E Fund Asset Management (Hong Kong) Limited, in the form of QFII and RQFII. During the reporting period, E Fund strictly complied with all policy and regulatory requirements. It closely followed the main line of high-quality development of the public fund industry, continuously improved its capabilities to serve the real economy and national strategies, support reform and development of the capital market, and meet residents’ wealth management needs. It is committed to building a first-class investment institution, serving the high-quality development of the economy and society through its own high-quality development. As of end-December 2025, the total scale of E Fund-managed public funds amounted to RMB 1B, up 25.17% from end-2024; after excluding money market funds, the aggregate scale was RMB 8B, with an industry ranking of No. 1 (Data source: Wind; company statistics).
(Announcement)
(Editor: Xu Nannan)
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