上银基金管理有限公司

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总资产规模1,640.24亿元 (24/138) 非债券基金资产规模43.29亿元 (80/138) 基金数量59基金经理数量21

上银基金管理有限公司 - 全部基金列表

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# 基金名称(70) 总资产规模收盘价涨跌幅成交金额净值涨跌幅数据时间合同生效日指定时间段投资收益率今年以来分红再投入收益率分红再投入收益率(1个月)分红再投入收益率(3个月)分红再投入收益率(6个月)分红再投入收益率(1年)分红再投入收益率(2年)分红再投入收益率(3年)分红再投入收益率(5年)分红再投入收益率(10年)成立以来分红再投入年化收益率今年以来跟踪误差过去一年跟踪误差
1上银慧永利中短期债券A
007754.jj
137.49亿元
2026-06-30
----0.009% (1.0608)
2026-10-09
2026-10-092020-02-27--1.71%
4142/7399
0.17%
3724/7821
0.51%
3521/7689
0.96%
4136/7523
2.20%
3950/7182
4.90%
3730/6275
8.13%
3150/5175
15.14%
1738/3607
--2.68%
4167/7514
----
2上银慧嘉利债券
012465.jj
136.75亿元
2026-06-30
----0.02% (1.0766)
2026-10-09
2026-10-092021-06-25--2.35%
2093/7399
0.20%
3155/7821
0.65%
2301/7689
1.35%
2395/7523
3.03%
1639/7182
5.83%
2421/6275
10.22%
1575/5175
16.61%
1217/3607
--3.10%
2842/7514
----
3上银聚远鑫87个月定开债券
010639.jj
99.05亿元
2026-06-30
----0.10% (1.2524)
2026-10-09
2026-10-092020-11-25--3.27%
525/7399
0.40%
399/7821
1.12%
479/7689
2.19%
451/7523
4.37%
331/7182
8.74%
789/6275
13.19%
592/5175
----------
4上银聚远盈42个月定开债券
009851.jj
87.46亿元
2026-06-30
----0.06% (1.0825)
2026-10-09
2026-10-092020-07-22--1.97%
3374/7399
0.25%
2009/7821
0.69%
2001/7689
1.33%
2477/7523
2.61%
2798/7182
5.11%
3425/6275
7.73%
3468/5175
----------
5上银聚合益一年定开债券发起式
018252.jj
86.91亿元
2026-06-30
----0.02% (1.1086)
2026-10-09
2026-10-092023-04-14--2.59%
1361/7399
0.24%
2307/7821
0.76%
1497/7689
1.48%
1761/7523
3.42%
932/7182
7.12%
1338/6275
13.41%
558/5175
----4.06%
1121/7514
----
6上银聚永益一年定开债券
009577.jj
84.61亿元
2026-06-30
----0.04% (1.0947)
2026-10-09
2026-10-092020-06-12--2.82%
942/7399
0.24%
2238/7821
0.88%
967/7689
1.79%
886/7523
3.75%
608/7182
7.62%
1106/6275
11.31%
1064/5175
20.74%
331/3607
--3.70%
1532/7514
----
7上银慧佳盈债券
005666.jj
80.10亿元
2026-06-30
----0.04% (1.0057)
2026-10-09
2026-10-092018-05-17--2.63%
1290/7399
0.28%
1497/7821
0.69%
2044/7689
1.41%
2096/7523
3.39%
988/7182
5.93%
2316/6275
9.07%
2425/5175
16.99%
1102/3607
--3.52%
1816/7514
----
8上银聚德益一年定开债券
009578.jj
79.91亿元
2026-06-30
----0.03% (1.0275)
2026-10-09
2026-10-092020-06-16--2.86%
891/7399
0.22%
2526/7821
0.80%
1296/7689
1.66%
1171/7523
3.75%
611/7182
6.22%
1990/6275
11.38%
1040/5175
18.76%
621/3607
--3.26%
2395/7514
----
9上银政策性金融债券A
007492.jj
78.32亿元
2026-06-30
----0.09% (1.0590)
2026-10-09
2026-10-092019-12-19--3.20%
571/7399
0.32%
920/7821
0.81%
1276/7689
2.06%
536/7523
3.22%
1229/7182
6.46%
1763/6275
14.56%
418/5175
22.21%
233/3607
--3.87%
1312/7514
----
10上银慧鼎利债券A
012750.jj
72.10亿元
2026-06-30
----0.04% (1.0565)
2026-10-09
2026-10-092021-07-28--2.98%
739/7399
0.31%
1012/7821
0.97%
689/7689
1.68%
1116/7523
3.72%
630/7182
7.66%
1090/6275
9.92%
1780/5175
16.42%
1276/3607
--2.95%
3282/7514
----
11上银慧祥利债券A
006901.jj
64.57亿元
2026-06-30
----0.02% (1.0856)
2026-10-09
2026-10-092019-01-24--2.58%
1395/7399
0.19%
3190/7821
0.67%
2191/7689
1.41%
2086/7523
3.49%
856/7182
5.73%
2557/6275
10.81%
1260/5175
18.34%
719/3607
--3.25%
2423/7514
----
12上银中债1-3年农发行债券指数A
007390.jj
57.63亿元
2026-06-30
----0.07% (1.0339)
2026-10-09
2026-10-092019-06-19--2.32%
2203/7399
0.24%
2162/7821
0.86%
1073/7689
1.71%
1023/7523
2.52%
3084/7182
3.82%
5240/6275
6.07%
4534/5175
11.50%
2880/3607
--2.35%
5146/7514
----
13上银慧元利90天持有期债券A
021282.jj
56.85亿元
2026-06-30
----0% (1.0752)
2026-10-09
2026-10-092024-05-17--1.48%
4804/7399
0.13%
4624/7821
0.39%
4635/7689
0.85%
4610/7523
1.99%
4471/7182
5.65%
2668/6275
------3.08%
2905/7514
----
14上银聚嘉益一年定开债券发起式
016999.jj
52.91亿元
2026-06-30
----0.02% (1.0949)
2026-10-09
2026-10-092023-02-15--2.65%
1232/7399
0.22%
2613/7821
0.67%
2154/7689
1.31%
2559/7523
3.73%
623/7182
7.22%
1282/6275
12.33%
768/5175
----3.53%
1809/7514
----
15上银慧鑫利债券
016537.jj
49.26亿元
2026-06-30
----0.04% (1.0858)
2026-10-09
2026-10-092022-09-23--1.94%
3448/7399
0.18%
3606/7821
0.60%
2752/7689
1.30%
2616/7523
2.32%
3612/7182
5.70%
2600/6275
19.50%
185/5175
----5.12%
490/7514
----
16上银慧享利30天滚动持有中短债债券发起式A
015942.jj
48.07亿元
2026-06-30
----0.009% (1.1316)
2026-10-09
2026-10-092022-06-28--1.40%
5107/7399
0.13%
4570/7821
0.39%
4660/7689
0.82%
4778/7523
1.88%
4756/7182
4.59%
4183/6275
7.68%
3509/5175
----2.93%
3337/7514
----
17上银中债5-10年国开行债券指数A
013138.jj
40.29亿元
2026-06-30
----0.11% (1.1316)
2026-10-09
2026-10-092021-09-15--4.33%
185/7399
0.37%
514/7821
1.16%
425/7689
2.91%
197/7523
4.56%
271/7182
7.78%
1052/6275
17.14%
237/5175
25.71%
125/3607
--4.64%
699/7514
----
18上银慧丰利债券
009284.jj
39.96亿元
2026-06-30
----0.02% (1.0276)
2026-10-09
2026-10-092020-04-22--2.21%
2591/7399
0.21%
2708/7821
0.59%
2868/7689
1.23%
2948/7523
3.04%
1613/7182
6.20%
2006/6275
11.40%
1031/5175
14.98%
1798/3607
--2.65%
4264/7514
----
19上银中债1-3年国开行债券指数A
009560.jj
38.66亿元
2026-06-30
----0.06% (1.0878)
2026-10-09
2026-10-092020-06-11--1.94%
3456/7399
0.23%
2404/7821
0.69%
1988/7689
1.45%
1923/7523
2.02%
4408/7182
3.31%
5696/6275
8.30%
3005/5175
14.65%
1918/3607
--2.82%
3692/7514
----
20上银慧添利债券
002486.jj
32.83亿元
2026-06-30
----0.03% (1.0312)
2026-10-09
2026-10-092016-03-16--2.69%
1149/7399
0.25%
1960/7821
0.71%
1912/7689
1.51%
1680/7523
3.38%
1005/7182
6.58%
1659/6275
10.59%
1356/5175
19.31%
513/3607
49.78%
162/853
4.27%
941/7514
----
21上银慧信利三个月定开债券
015335.jj
20.70亿元
2026-06-30
----0.02% (1.0993)
2026-10-09
2026-10-092022-08-12--2.55%
1474/7399
0.27%
1594/7821
0.70%
1974/7689
1.41%
2078/7523
3.32%
1074/7182
6.49%
1734/6275
10.09%
1664/5175
----3.02%
3080/7514
----
22上银聚恒益一年定开债券发起式
015949.jj
20.36亿元
2026-06-30
----0.04% (1.0254)
2026-10-09
2026-10-092022-06-24--2.24%
2467/7399
0.25%
1924/7821
0.70%
1966/7689
1.31%
2556/7523
2.75%
2409/7182
4.73%
3993/6275
7.67%
3513/5175
----2.49%
4748/7514
----
23上银聚增富定开债券
005431.jj
15.25亿元
2026-06-30
----0.010% (1.0168)
2026-10-09
2026-10-092017-12-27--2.63%
1273/7399
0.26%
1880/7821
0.71%
1857/7689
1.35%
2398/7523
2.97%
1807/7182
4.06%
4914/6275
6.14%
4497/5175
10.63%
3047/3607
--2.69%
4115/7514
----
24上银聚鸿益三个月定开债券
005432.jj
10.52亿元
2026-06-30
----0.02% (1.0396)
2026-10-09
2026-10-092018-07-20--2.40%
1897/7399
0.23%
2388/7821
0.55%
3193/7689
1.26%
2814/7523
3.17%
1321/7182
4.73%
3999/6275
8.70%
2673/5175
15.96%
1438/3607
--3.70%
1516/7514
----
25上银聚顺益一年定开债券发起式
013723.jj
10.09亿元
2026-06-30
----0.08% (1.0416)
2026-10-09
2026-10-092022-05-30--2.32%
2188/7399
0.27%
1656/7821
0.76%
1495/7689
1.58%
1440/7523
2.47%
3233/7182
4.25%
4655/6275
10.31%
1525/5175
----3.41%
2082/7514
----
26上银慧诚利60天持有期债券A
020550.jj
8.44亿元
2026-06-30
----0.009% (1.0768)
2026-10-09
2026-10-092024-03-29--1.42%
5019/7399
0.13%
4629/7821
0.41%
4461/7689
0.87%
4517/7523
1.88%
4754/7182
6.08%
2140/6275
------2.96%
3237/7514
----
27上银慧臻利率债债券A
021468.jj
6.86亿元
2026-06-30
----0.12% (1.0658)
2026-10-09
2026-10-092024-06-21--5.46%
103/7399
0.34%
763/7821
1.33%
276/7689
3.96%
98/7523
5.13%
161/7182
6.21%
2002/6275
------3.25%
2433/7514
----
28上银鑫达灵活配置混合A
004138.jj
5.55亿元
2026-06-30
----0.17% (1.3834)
2026-10-09
2026-10-092017-03-09--5.95%
2012/8891
-4.79%
4858/9593
-5.30%
4271/9393
-0.30%
3496/9113
5.73%
1897/8625
29.78%
2721/7898
30.91%
2410/7191
19.32%
1068/4981
--10.13%
1833/9490
----
29上银慧兴盈债券
011529.jj
5.03亿元
2026-06-30
----0.08% (1.0287)
2026-10-09
2026-10-092021-04-06--2.24%
2494/7399
0.26%
1756/7821
0.77%
1439/7689
1.64%
1199/7523
3.10%
1459/7182
5.59%
2747/6275
8.52%
2811/5175
14.92%
1818/3607
--2.97%
3210/7514
----
30上银慧恒收益增强债券A
010899.jj
4.31亿元
2026-06-30
-----0.26% (0.8854)
2026-10-09
2026-10-092021-01-20---4.72%
7277/7399
-5.42%
7785/7821
-16.50%
7666/7689
-4.16%
7298/7523
-5.42%
7091/7182
6.85%
1475/6275
9.01%
2479/5175
-13.87%
3588/3607
---2.11%
7423/7514
----
31上银慧达双利债券A
026325.jj
2.57亿元
2026-06-30
----0.02% (0.9845)
2026-10-09
2026-10-092026-01-30-----1.04%
7103/7821
-2.41%
7087/7689
-1.62%
7023/7523
-----------1.55%
7389/7514
----
32上银鑫尚稳健回报6个月持有期混合A
012332.jj
2.43亿元
2026-06-30
-----0.22% (0.9722)
2026-10-09
2026-10-092021-07-20--3.85%
2505/8891
-0.49%
1406/9593
3.14%
1168/9393
1.96%
2084/9113
6.86%
1715/8625
10.40%
4972/7898
23.25%
2993/7191
-2.13%
2666/4981
---0.54%
6971/9490
----
33上银可转债精选债券A
008897.jj
1.89亿元
2026-06-30
----0.42% (0.9111)
2026-10-09
2026-10-092020-05-08---0.85%
6934/7399
-3.87%
7735/7821
-9.54%
7613/7689
-1.82%
7079/7523
-2.28%
6915/7182
30.08%
65/6275
18.11%
213/5175
-14.77%
3592/3607
---1.44%
7380/7514
----
34上银鑫卓混合A
008244.jj
1.65亿元
2026-06-30
-----0.34% (1.3865)
2026-10-09
2026-10-092020-01-21--2.56%
3004/8891
-3.61%
3975/9593
-0.51%
2738/9393
-1.64%
4220/9113
9.16%
1428/8625
12.83%
4533/7898
29.42%
2517/7191
-5.83%
2920/4981
--7.52%
2654/9490
----
35上银慧景利60天滚动持有债券A
024550.jj
1.50亿元
2026-06-30
----0% (1.0325)
2026-10-09
2026-10-092025-08-01--2.07%
3063/7399
0.16%
3850/7821
0.57%
2973/7689
1.27%
2784/7523
2.83%
2141/7182
--------2.72%
4009/7514
----
36上银新兴价值成长混合A
000520.jj
1.46亿元
2026-06-30
----0.16% (1.2600)
2026-10-09
2026-10-092014-05-06--3.87%
2498/8891
-3.74%
4077/9593
-0.55%
2760/9393
1.04%
2562/9113
4.56%
2176/8625
22.81%
3321/7898
26.76%
2710/7191
13.35%
1474/4981
115.73%
488/1551
11.70%
1401/9490
----
37上银聚泽益债券A
020432.jj
1.03亿元
2026-06-30
----0.07% (1.0355)
2026-10-09
2026-10-092024-02-08--1.50%
4743/7399
0.59%
122/7821
0.76%
1526/7689
1.08%
3616/7523
2.06%
4295/7182
4.75%
3955/6275
------2.25%
5378/7514
----
38上银中证半导体产业指数发起式A
024069.jj
1.01亿元
2026-06-30
-----0.51% (2.3479)
2026-10-09
2026-10-092025-05-16--47.41%
47/5528
-6.13%
4115/6266
-33.51%
5918/6083
35.80%
38/5758
42.27%
55/5217
--------84.26%
7/6373
-1.01%0.23%
39上银丰瑞一年持有期混合发起式A
019787.jj
9,570.99万元
2026-06-30
----0.45% (1.2593)
2026-10-09
2026-10-092023-12-22--7.14%
1804/8891
0.60%
340/9593
3.81%
1002/9393
5.76%
1173/9113
6.31%
1803/8625
12.41%
4596/7898
------8.59%
2288/9490
----
40上银慧铭双利180天持有期债券发起式A
027092.jj
8,899.45万元
2026-06-30
----0.31% (0.9399)
2026-10-09
2026-10-092026-04-30-----0.57%
6671/7821
-5.33%
7450/7689
-------------6.02%
7509/7514
----
41上银医疗健康混合A
011288.jj
7,433.65万元
2026-06-30
-----0.27% (0.6763)
2026-10-09
2026-10-092021-03-30---7.09%
6476/8891
-0.89%
1834/9593
-1.67%
3250/9393
-5.78%
5808/9113
-19.53%
7623/8625
11.77%
4702/7898
3.68%
5674/7191
-27.30%
4097/4981
---6.83%
8472/9490
----
42上银科技驱动双周定期可赎回混合A
011277.jj
7,381.08万元
2026-06-30
-----1.12% (0.5821)
2026-10-09
2026-10-092021-06-08--10.18%
1441/8891
-8.36%
7428/9593
-19.48%
6882/9393
7.08%
999/9113
8.04%
1547/8625
56.10%
1254/7898
57.15%
1171/7191
-37.73%
4483/4981
---9.64%
8823/9490
----
43上银数字经济混合发起式A
021593.jj
7,362.31万元
2026-06-30
-----0.70% (2.2715)
2026-10-09
2026-10-092024-08-09--51.21%
89/8891
-7.50%
6801/9593
-30.93%
8779/9393
35.92%
73/9113
32.39%
352/8625
121.46%
245/7898
------46.05%
87/9490
----
44上银内需增长股票A
009899.jj
5,675.51万元
2026-06-30
----0.68% (1.2952)
2026-10-09
2026-10-092020-08-24--26.47%
169/5528
-11.38%
6123/6266
-4.65%
1946/6083
6.36%
589/5758
24.44%
190/5217
72.85%
289/3783
65.06%
419/3051
33.94%
294/2103
--4.31%
3257/6373
----
45上银高质量优选9个月持有期混合A
013358.jj
5,667.93万元
2026-06-30
----0.07% (0.7587)
2026-10-09
2026-10-092021-11-03---4.03%
5758/8891
-3.56%
3937/9593
-5.15%
4245/9393
-2.28%
4572/9113
-3.71%
5134/8625
16.69%
3990/7898
25.70%
2787/7191
-----5.44%
8249/9490
----
46上银资源精选混合发起式A
023448.jj
4,317.98万元
2026-06-30
----1.34% (1.6265)
2026-10-09
2026-10-092025-03-21---5.27%
6064/8891
-9.07%
7842/9593
-3.29%
3783/9393
-17.10%
8294/9113
7.79%
1579/8625
--------36.87%
141/9490
----
47上银鑫恒混合A
010313.jj
4,311.59万元
2026-06-30
-----1.76% (1.0956)
2026-10-09
2026-10-092020-11-18--4.25%
2390/8891
-11.31%
8853/9593
-29.32%
8539/9393
-1.73%
4273/9113
4.59%
2160/8625
33.32%
2433/7898
36.86%
2039/7191
-2.79%
2716/4981
--1.56%
5922/9490
----
48上银科技先锋股票发起式A
026516.jj
3,882.42万元
2026-06-30
----1.22% (0.5869)
2026-10-09
2026-10-092026-01-23-----7.50%
5024/6266
-19.64%
4718/6083
-28.63%
5726/5758
-----------41.54%
6368/6373
----
49上银中证同业存单AAA指数7天持有期
017888.jj
3,399.68万元
2026-06-30
----0% (1.0544)
2026-10-09
2026-10-092023-03-29--0.84%
3875/8891
0.08%
601/9593
0.23%
2265/9393
0.45%
2993/9113
1.30%
3338/8625
2.48%
6601/7898
4.14%
5625/7191
----1.51%
5949/9490
----
50上银中证500指数增强型A
009613.jj
3,208.84万元
2026-06-30
----0.15% (1.3010)
2026-10-09
2026-10-092020-07-01--4.90%
1173/5528
-5.38%
3275/6266
-9.29%
2806/6083
-1.46%
1982/5758
3.08%
1235/5217
31.03%
1333/3783
35.27%
1107/3051
11.45%
653/2103
--4.28%
3263/6373
6.74%5.87%
51上银创业板50指数发起式A
024071.jj
2,714.09万元
2026-06-30
----0.17% (1.5087)
2026-10-09
2026-10-092025-06-06---5.45%
3524/5528
-9.04%
5645/6266
-24.43%
5139/6083
-8.26%
4065/5758
-7.35%
3397/5217
--------35.93%
157/6373
0.98%0.28%
52上银慧尚6个月持有期混合A
012334.jj
2,670.08万元
2026-06-30
----0.11% (1.1595)
2026-10-09
2026-10-092021-12-09--5.74%
2048/8891
-0.09%
844/9593
0.11%
2387/9393
3.80%
1518/9113
6.71%
1736/8625
11.91%
4674/7898
14.81%
4015/7191
----3.11%
4947/9490
----
53上银丰益混合A
011504.jj
2,610.54万元
2026-06-30
----0.56% (1.4964)
2026-10-09
2026-10-092021-04-28--11.26%
1296/8891
-2.34%
3088/9593
-0.43%
2692/9393
7.79%
921/9113
8.92%
1444/8625
46.86%
1596/7898
48.31%
1487/7191
49.06%
349/4981
--7.68%
2582/9490
----
54上银上证科创板综合指数增强发起式A
024665.jj
2,426.45万元
2026-06-30
----0.12% (1.1700)
2026-10-09
2026-10-092025-08-29--13.12%
502/5528
-4.26%
2171/6266
-24.39%
5135/6083
9.68%
346/5758
6.06%
842/5217
--------14.99%
880/6373
7.92%7.38%
55上银国证自由现金流指数A
024073.jj
2,421.97万元
2026-06-30
----0.48% (1.0951)
2026-10-09
2026-10-092025-06-27---2.90%
2749/5528
-1.97%
990/6266
7.87%
536/6083
-10.50%
4480/5758
-0.34%
1940/5217
--------7.34%
2371/6373
0.35%-1.29%
56上银未来生活灵活配置混合A
007393.jj
2,371.73万元
2026-06-30
-----0.22% (1.1593)
2026-10-09
2026-10-092019-07-15---31.30%
8746/8891
-4.09%
4348/9593
-21.55%
7242/9393
-21.23%
8678/9113
-34.62%
8470/8625
-3.17%
7108/7898
10.39%
4703/7191
-15.31%
3498/4981
--2.06%
5578/9490
----
57上银中证全指指数增强发起式A
026514.jj
2,237.88万元
2026-06-30
----0.25% (0.9254)
2026-10-09
2026-10-092026-02-06-----4.36%
2283/6266
-3.94%
1850/6083
-3.53%
2671/5758
-----------7.31%
5424/6373
----
58上银丰泽混合发起式A
026202.jj
1,858.75万元
2026-06-30
-----1.14% (1.1829)
2026-10-09
2026-10-092025-12-19--17.75%
832/8891
-4.66%
4754/9593
-5.85%
4376/9393
17.15%
361/9113
----------18.46%
565/9490
----
59上银科技创新股票发起式A
026303.jj
1,788.71万元
2026-06-30
----0.16% (0.8678)
2026-10-09
2026-10-092026-01-23-----1.25%
758/6266
-14.71%
4165/6083
-7.42%
3859/5758
-----------13.25%
5931/6373
----
60上银先进制造混合发起式A
023158.jj
1,696.31万元
2026-06-30
-----1.61% (0.9420)
2026-10-09
2026-10-092025-01-24---6.47%
6341/8891
-11.31%
8850/9593
-30.42%
8696/9393
-14.72%
7971/9113
-17.97%
7460/8625
---------3.43%
7815/9490
----
61上银成长精选股票发起式A
027622.jj
1,459.31万元
2026-06-30
-----1.16% (0.9058)
2026-10-09
2026-10-092026-06-30-----6.52%
4427/6266
-9.38%
2832/6083
-------------9.42%
5624/6373
----
62上银国企红利混合发起式A
020186.jj
1,250.47万元
2026-06-30
----0.40% (1.0868)
2026-10-09
2026-10-092024-03-08---0.20%
4434/8891
0.64%
330/9593
5.11%
789/9393
0.09%
3264/9113
3.53%
2459/8625
6.57%
5829/7898
------3.27%
4858/9490
----
63上银医疗创新混合发起式A
026089.jj
1,149.55万元
2026-06-30
-----0.24% (0.9428)
2026-10-09
2026-10-092025-12-19---3.85%
5713/8891
0.86%
282/9593
1.39%
1606/9393
-2.79%
4800/9113
-----------5.90%
8326/9490
----
64上银医药精选股票发起式A
026746.jj
1,126.20万元
2026-06-30
----0.55% (0.9895)
2026-10-09
2026-10-092026-03-06----1.49%
145/6266
1.69%
1276/6083
-0.49%
1718/5758
-----------1.04%
4578/6373
----
65上银消费机遇混合发起式A
026271.jj
974.55万元
2026-06-30
----0.95% (0.7422)
2026-10-09
2026-10-092025-12-31---25.77%
8548/8891
-8.03%
7195/9593
-10.68%
5340/9393
-18.24%
8416/9113
-----------25.77%
9395/9490
----
66上银价值增长3个月持有期混合A
013284.jj
400.77万元
2026-06-30
----0.60% (1.2672)
2026-10-09
2026-10-092021-12-20---2.77%
5377/8891
-5.64%
5431/9593
-3.43%
3824/9393
-10.18%
7009/9113
4.73%
2137/8625
25.33%
3059/7898
32.14%
2317/7191
----5.05%
3836/9490
----
67上银中证沪港深互联网指数发起式A
026748.jj
------3.46% (0.9006)
2026-10-09
2026-10-092026-05-29-----4.47%
2378/6266
-6.84%
2293/6083
-------------9.80%
5648/6373
----
68上银丰荣混合发起式A
027673.jj
-------0.29% (0.9582)
2026-10-09
2026-10-092026-07-10-----2.73%
3340/9593
---------------3.71%
7881/9490
----
69上银慧泽双利债券A
027941.jj
------0.09% (1.0006)
2026-10-09
2026-10-092026-08-14-----0.02%
5825/7821
--------------0.05%
7100/7514
----
70上银创业板综指增强发起式A
028469.jj
------0.44% (0.9396)
2026-10-09
2026-10-092026-08-28-----4.10%
2067/6266
---------------5.74%
5223/6373
----