china-nav-tieout

Performs NAV reconciliation for Chinese funds using Wind, iFind, and AkShare data.

705|115|Updated Jun 7, 2026
One-click install
npx skills add https://github.com/jwangkun/claude-for-financial-services-cn --skill china-nav-tieout
Or copy as Structured Prompt for Agent▼
Please help me install this Agent Skill.
Skill: china-nav-tieout
Source: https://github.com/jwangkun/claude-for-financial-services-cn/tree/main/vertical-plugins/fund-admin/skills/china-nav-tieout
Command: npx skills add https://github.com/jwangkun/claude-for-financial-services-cn --skill china-nav-tieout

SYSTEM DOCUMENTATION & REQUIREMENTS

What problem does it solve?

NAV reconciliation and tie-out for Chinese funds and portfolios, adapting to A-share accounting standards and domestic custody.

Core Features & Use Cases

  • NAV valuation using Tier 0 Wind, Tier 1 iFind, and AkShare data sources
  • Step-by-step NAV tie-out workflow covering holdings, valuation, liabilities, and reconciliation
  • Compliance and reporting tailored to China fund accounting and custody environments

Quick Start

Run the NAV tie-out workflow against your portfolio to produce a reconciled NAV per share.

Frequently Asked Questions about china-nav-tieout

High-intent search queries and answers about installing and using this skill.

FAQPage Schema
How do I perform NAV reconciliation for A-share fund portfolios?▼

NAV reconciliation for A-share fund portfolios is performed through a multi-step workflow covering holdings, valuation, liabilities, and final tie-out to produce a reconciled NAV per share.

Can I use AkShare data for Chinese fund NAV tie-out?▼

Yes, Chinese fund NAV tie-out supports AkShare as a Tier 2 data source alongside Tier 0 Wind and Tier 1 iFind to apply A-share valuation rules and custody arrangements.

What is the NAV tie-out workflow for Chinese funds?▼

The NAV tie-out workflow for Chinese funds is a step-by-step process covering holdings verification, valuation, liabilities, accruals, and final reconciliation tailored to domestic accounting standards.

Does this NAV calculation handle China-specific valuation rules?▼

Yes, the NAV calculation handles China-specific valuation rules for A-share holdings, adapting to domestic fund accounting standards and custody environments throughout the reconciliation process.

What's the best way to reconcile fund NAV using Wind and iFind data?▼

The best way to reconcile fund NAV using Wind and iFind data is through a tiered data source approach, prioritizing Tier 0 Wind and Tier 1 iFind for accurate A-share portfolio valuation and compliance reporting.

How do I calculate NAV per share for Chinese portfolios?▼

You calculate NAV per share for Chinese portfolios by running the multi-step tie-out workflow, which processes holdings, applies A-share valuation rules, accounts for liabilities and accruals, and outputs the reconciled result.