东海基金管理有限责任公司

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总资产规模198.64亿 (103/208) 非债券基金资产规模1.61亿 (152/208) 基金数量15基金经理数量8

东海基金管理有限责任公司 - 全部基金列表

最后更新于:2023-11-27

# 基金名称成立日期总资产规模管理和托管费用率涨跌幅成交金额净值涨跌幅今年以来分红再投入收益率同类型基金今年以来分红再投入收益率排名分红再投入收益率(1个月)同类型基金分红再投入收益率排名(1个月)分红再投入收益率(3个月)同类型基金分红再投入收益率排名(3个月)分红再投入收益率(6个月)同类型基金分红再投入收益率排名(6个月)分红再投入收益率(1年)同类型基金分红再投入收益率排名(1年)分红再投入收益率(2年)同类型基金分红再投入收益率排名(2年)分红再投入收益率(3年)同类型基金分红再投入收益率排名(3年)分红再投入收益率(5年)同类型基金分红再投入收益率排名(5年)分红再投入收益率(10年)同类型基金分红再投入收益率排名(10年)成立以来分红再投入年化收益率同类型基金成立以来分红再投入年化收益率排名
1东海祥泰三年定开
009802.jj
2020-07-2480.21亿0.20%----0.04%2.38%55.00%0.19%55.57%0.53%15.32%1.20%34.07%2.78%39.28%6.18%26.78%9.55%53.84%--------3.06%46.82%
2东海鑫享66个月定开
010794.jj
2021-07-1977.96亿0.20%----0.06%3.06%33.27%0.31%31.61%0.85%5.81%1.75%11.03%3.49%18.68%7.24%12.32%------------3.48%32.56%
3东海祥苏短债A
008578.jj
2020-03-1211.06亿0.38%----0.01%3.75%18.05%0.36%23.36%0.76%7.75%1.73%11.54%3.61%16.40%8.07%7.07%9.45%55.30%--------3.00%49.27%
4东海祥瑞A级
002381.jj
2016-03-245.21亿0.90%-----0.01%5.79%2.48%0.43%14.65%0.62%11.38%1.77%10.70%4.50%5.60%6.54%19.91%-1.11%94.34%12.42%87.92%----1.92%77.41%
5东海鑫乐一年定开债发起式
017682.jj
2023-03-175.20亿0.35%----0.00%----0.40%17.63%0.42%21.11%1.75%11.08%--------------------2.32%69.87%
6东海祥利纯债
006747.jj
2018-12-283.88亿0.35%----0.01%5.45%3.36%0.55%8.45%0.66%10.46%2.06%5.35%5.08%3.42%9.02%3.75%9.74%50.82%--------2.05%75.32%
7东海启航6个月混合A
012287.jj
2021-12-135,881.22万0.60%----0.20%-1.97%30.25%1.28%39.18%1.20%19.24%-2.83%32.47%-3.10%37.18%-----------------3.62%62.06%
8东海鑫宁利率债三个月定期开放债券
015730.jj
2022-08-125,159.40万0.38%-----0.17%1.84%74.40%-0.03%90.41%0.21%37.25%1.15%38.24%1.90%73.68%----------------1.72%79.38%
9东海科技动力A
007439.jj
2019-06-261,934.05万1.40%----1.86%-0.57%23.22%2.29%27.05%8.15%5.84%-9.91%71.90%-6.01%48.86%-28.98%59.96%-14.56%58.05%--------9.65%9.82%
10东海社会安全
001899.jj
2015-11-231,730.49万0.90%----0.61%-6.21%45.58%2.47%29.43%-5.32%66.25%-10.75%76.07%-5.32%50.83%-29.06%62.69%-32.52%92.75%-12.78%96.22%-----8.33%67.54%
11东海祥龙混合(LOF)
168301.sz
2016-12-211,181.18万1.75%0.00%0-0.29%-16.21%80.60%1.27%39.32%-2.31%60.04%-10.73%75.55%-11.01%65.21%-31.78%66.97%-34.08%89.49%11.08%90.03%-----1.03%52.76%
12东海数字经济混合发起式A
018886.jj
2023-08-151,015.91万-------0.02%----0.15%63.90%-2.78%64.00%-------------------------2.85%59.90%
13东海核心价值
006538.jj
2018-11-23888.04万1.70%----0.33%-6.39%47.48%1.64%34.68%2.07%15.68%-7.60%59.61%-11.61%67.35%-35.55%76.15%-17.64%63.62%39.71%61.26%----6.90%17.29%
14东海美丽中国灵活配置混合
000822.jj
2014-11-14841.29万1.75%----0.19%-16.85%82.23%-0.29%78.39%-1.90%55.86%-12.03%81.58%-20.94%90.01%-33.35%70.76%-17.26%62.92%38.76%62.59%----0.34%45.17%
15东海消费臻选混合发起式A
019551.jj
2023-10-17---------0.51%----1.78%32.99%----------------------------2.75%34.53%