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集合理财
序号 基金代码 基金简称 投资类型 时间 单位净值 累计净值 成立日期 近一月 近三月 近半年 近一年 管理公司
1EG0015大同同增2号混合型2025-09-290.350.352016-04-08-3.13%28.11%11.43%60.62%大同证券
2C44506财通证券资管财嘉101号混合型2025-09-261.04931.21612023-06-130.37%4.93%2.61%58.95%财通资管
3PE9002野村东方国际渼成多策略2号混合型2025-09-260.56670.56672020-08-12-4.48%9.59%6.60%55.01%野村东方国际证券
4CF0046金元鑫灏1号混合型2025-09-091.19921.34662019-09-171.45%11.73%11.16%51.40%金元证券
5SAFN71中信证券资管量信对冲1号混合型2025-09-292.05442.05442024-01-055.73%29.23%33.56%48.54%中信证券资产管理
6B50038中信建投量化策略2号混合型2025-09-292.12232.13472015-05-191.74%19.30%24.46%48.00%中信建投
7AB5151兴证资管玉麒麟10号混合型2025-09-292.89132.89132015-06-248.59%32.91%22.30%47.93%兴证资管
8AD8683安信资管优质成长1号混合型2025-09-291.29681.29682021-12-286.34%33.57%32.18%39.59%国投证券资产管理
9WY0020银河稳盈20号混合型2025-09-291.57681.57682018-12-071.73%14.00%18.21%36.64%银河金汇证券
10AA0003银河福星1号混合型2025-09-241.1781.8782010-09-214.71%18.63%15.04%33.86%银河金汇证券
11CE1323德邦证券心连心鸿潼1号混合型2025-09-260.91870.91872020-12-152.94%15.47%12.75%31.47%德邦证券资管
12AA0002银河北极星1号混合型2025-09-290.93211.34662010-04-011.91%11.19%13.05%26.11%银河金汇证券
1387642U广发睿和8号混合型2025-09-291.4681.76842018-01-236.69%16.92%18.22%25.71%广发资产管理
14C43120财通资管财申道混合型2025-09-291.30192.61192015-04-134.08%16.86%13.84%23.40%财通资管
15DFGW2A银河东方港湾2号混合型2025-09-291.4251.5052017-11-289.11%18.45%28.84%23.16%银河金汇证券
16AB1002兴证资管玉麒麟2号混合型2025-09-303.44243.55342011-06-033.99%13.68%13.61%22.89%兴证资管
17B00002齐鲁金泰山2号(展期)混合型2025-09-302.06862.28862010-07-165.21%18.86%15.38%21.35%中泰证券(上海)资管
18EA0086五矿证券丰益1号混合型2025-09-230.87170.87172020-08-215.79%10.62%6.01%20.99%五矿证券
19B60201浙商金惠1号混合型2025-09-301.04081.36082010-07-015.20%16.20%11.07%20.00%浙商证券资管
20EG2001大同证券同瑞1号混合型2025-09-291.34631.40392017-11-130.73%16.81%17.49%18.51%大同证券
21876434广发资管新三板全面成长混合型2025-09-300.7790.7792015-02-1111.22%37.58%28.55%18.48%广发资产管理
22SNF617华创证券稳惠5号混合型2025-09-260.87170.87172020-11-131.28%19.97%20.20%18.42%华创证券
23D96068华创证券稳惠5号混合型2025-09-260.87170.87172020-11-131.28%19.97%20.20%18.42%华创证券
24A0D447东海证券沪港深资本增值1号混合型2025-09-291.11141.11142019-04-302.51%4.88%10.26%15.90%东海证券
25953353国泰君安君享优量全天候2号混合型2025-09-261.3941.3942020-04-280.07%4.26%3.41%14.17%国泰海通资管
26HZ0003银河恒汇尊享3号混合型2025-09-261.16771.16772020-12-253.26%9.11%12.18%13.83%银河金汇证券
27D50057国融合泉1号混合型2025-09-301.05771.44552018-04-18-2.12%4.41%5.47%12.40%国融证券
28ZX1002银河盛汇尊享2号混合型2025-09-291.5191.5192018-08-160.32%2.91%3.94%8.62%银河金汇证券
29953831国泰君安君享大类资产全天候1号混合型2025-09-301.27581.27582023-01-172.14%2.85%3.44%8.44%国泰海通资管
30918011东方红-先锋7号混合型2025-09-302.33442.70092011-08-035.16%21.09%24.40%7.27%东方红资产管理
31FB0003华兴价值成长1号混合型2025-09-301.9071.9072017-05-264.88%8.72%8.71%5.45%华兴证券
32909275中信贵宾定制57号混合型2025-09-291.68931.68932015-07-13-0.18%0.20%1.79%5.02%中信证券资产管理
33WJ0001银河盛汇稳健1号混合型2025-09-291.61461.61462018-07-200.09%0.89%2.25%4.05%银河金汇证券
34953569国泰君安君享年华嘉选6号混合型2025-09-261.17041.17042020-11-060.06%0.43%1.83%4.03%国泰海通资管
35C43458财通证券资管吉富12号混合型2025-09-301.39631.39632016-09-09-0.03%0.14%1.59%3.34%财通资管
36AF1056东北证券融达9号混合型2025-09-301.03331.53162015-11-180.16%0.76%1.72%3.33%东证融汇证券资产管理
37953459国泰君安信远绝对优势1号混合型2025-09-261.16761.16762021-07-02-0.68%1.54%1.18%3.14%国泰海通资管
38909425中信避险共赢6号混合型2025-09-291.41551.41552016-08-020.11%0.38%0.88%3.08%中信证券资产管理
39RH0898银河融汇8号(RH0898)混合型2025-09-291.22781.22782019-04-11-0.11%0.20%1.21%2.66%银河金汇证券
40D60906华鑫证券繁星量化对冲1号混合型2025-09-291.0591.0592023-08-280.55%2.06%0.58%2.51%华鑫证券
41D50131国融安鑫6号混合型2025-09-301.03921.45162018-05-280.50%1.13%2.08%2.49%国融证券
42HS0005银河盛汇5号(HS0005)混合型2025-09-291.1381.1682021-12-21-0.40%0.32%1.35%2.40%银河金汇证券
43953388国泰君安君享农鑫1号混合型2025-09-261.19841.19842021-01-20-0.52%1.78%1.30%2.07%国泰海通资管
44AA0121银河盛汇玺粤1号混合型2025-09-291.24951.24952020-01-16-0.36%-0.20%0.47%1.65%银河金汇证券
45C81051长城半年红1号混合型2025-09-261.05151.31272015-11-160.00%0.01%0.01%0.02%长城证券
46PE9003野村东方国际东方渼成多策略1号混合型2025-09-260.65030.65032020-12-31-8.78%0.35%-5.86%-7.23%野村东方国际证券
47876448广发资管新三板全面成长2号混合型2025-09-300.66070.66072015-04-090.14%-14.62%-14.35%-13.80%广发资产管理
48953090国泰君安君享增利1号混合型2025-09-261.1311.1552016-01-08------------国泰海通资管
49876015广发恒盈1号混合型2025-09-30112013-08-16------------广发资产管理
50GF0602广发尊享利7号混合型2025-09-301.17941.17942018-04-02------------广发资产管理
51GF0603广发尊享利8号混合型2025-09-301.2151.2152018-04-02------------广发资产管理
52C81076长城半年红3号混合型2025-09-261.0441.27462016-03-17------------长城证券