上银基金管理有限公司

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总资产规模1,650.76亿 (30/219) 非债券基金资产规模41.06亿 (101/219) 基金数量59基金经理数量21

上银基金管理有限公司 - 混合型基金列表

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# 基金名称(21) 总资产规模收盘价涨跌幅成交金额净值涨跌幅数据时间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
1上银鑫达灵活配置混合A
004138.jj
3.17亿
2025-12-31
----0.76% (1.4143)
2026-03-05
2026-03-05--8.32%
2018/8992
1.72%
2540/9120
9.50%
2766/8973
14.18%
2541/8720
28.91%
3128/8311
39.77%
3413/7701
22.07%
2359/6793
17.91%
1474/4041
--11.10%
2198/9042
2上银鑫卓混合A
008244.jj
3.05亿
2025-12-31
----0.62% (1.4203)
2026-03-05
2026-03-05--5.06%
3316/8992
4.22%
1315/9120
5.99%
3951/8973
9.35%
3633/8720
15.12%
5090/8311
19.38%
5214/7701
23.16%
2265/6793
1.80%
2496/4041
--8.71%
2976/9042
3上银鑫尚稳健回报6个月持有期混合A
012332.jj
2.98亿
2025-12-31
----0.44% (0.9636)
2026-03-05
2026-03-05--2.93%
4617/8992
2.22%
2229/9120
2.79%
5335/8973
3.96%
5203/8720
9.15%
5982/8311
13.42%
5908/7701
13.98%
3311/6793
-----0.80%
7539/9042
4上银丰瑞一年持有期混合发起式A
019787.jj
1.96亿
2025-12-31
-----0.03% (1.1868)
2026-03-05
2026-03-05--0.97%
6183/8992
-0.39%
5441/9120
1.27%
6371/8973
0.24%
7041/8720
1.71%
7698/8311
12.56%
6021/7701
------8.10%
3203/9042
5上银新兴价值成长混合A
000520.jj
1.43亿
2025-12-31
----0.55% (1.2830)
2026-03-05
2026-03-05--5.77%
2983/8992
0.86%
3200/9120
6.65%
3689/8973
11.27%
3203/8720
23.72%
3839/8311
32.68%
4005/7701
20.13%
2517/6793
9.11%
2080/4041
191.83%
292/1292
12.50%
1822/9042
6上银医疗健康混合A
011288.jj
9,898.26万
2025-12-31
----1.92% (0.6490)
2026-03-05
2026-03-05---10.84%
8917/8992
-8.64%
8872/9120
-17.57%
8941/8973
-28.82%
8668/8720
7.08%
6416/8311
4.64%
7074/7701
-11.38%
6085/6793
-----8.39%
8750/9042
7上银数字经济混合发起式A
021593.jj
7,139.08万
2025-12-31
----1.69% (1.6949)
2026-03-05
2026-03-05--12.83%
894/8992
1.21%
2874/9120
16.94%
1096/8973
23.63%
1059/8720
55.90%
964/8311
--------39.92%
218/9042
8上银高质量优选9个月持有期混合A
013358.jj
6,489.00万
2025-12-31
----0.99% (0.7922)
2026-03-05
2026-03-05--0.20%
6927/8992
-3.21%
7365/9120
2.74%
5373/8973
4.37%
5053/8720
19.00%
4519/8311
36.12%
3737/7701
3.31%
4983/6793
-----5.23%
8446/9042
9上银科技驱动双周定期可赎回混合A
011277.jj
5,870.74万
2025-12-31
----2.15% (0.5420)
2026-03-05
2026-03-05--2.59%
4798/8992
2.53%
2042/9120
7.50%
3423/8973
8.73%
3777/8720
44.26%
1665/8311
64.19%
1717/7701
0.63%
5252/6793
-----12.12%
8948/9042
10上银中证同业存单AAA指数7天持有期
017888.jj
4,486.30万
2025-12-31
----0.010% (1.0483)
2026-03-05
2026-03-05--0.26%
6838/8992
0.14%
4476/9120
0.44%
6965/8973
0.80%
6694/8720
1.42%
7783/8311
2.65%
7270/7701
------1.62%
6615/9042
11上银鑫恒混合A
010313.jj
4,195.27万
2025-12-31
----0.81% (1.1517)
2026-03-05
2026-03-05--9.59%
1635/8992
6.82%
579/9120
14.32%
1506/8973
24.43%
997/8720
43.84%
1693/8311
38.29%
3552/7701
32.67%
1563/6793
10.86%
1968/4041
--2.70%
5947/9042
12上银资源精选混合发起式A
023448.jj
3,288.42万
2025-12-31
-----0.13% (2.1235)
2026-03-05
2026-03-05--23.68%
137/8992
10.19%
197/9120
30.00%
197/8973
64.79%
14/8720
----------112.35%
5/9042
13上银未来生活灵活配置混合A
007393.jj
2,922.78万
2025-12-31
----0.95% (1.6168)
2026-03-05
2026-03-05---4.18%
8316/8992
-5.69%
8165/9120
0.57%
6868/8973
-2.51%
7605/8720
22.54%
4009/8311
49.63%
2642/7701
32.02%
1612/6793
18.98%
1409/4041
--7.51%
3446/9042
14上银丰益混合A
011504.jj
2,603.08万
2025-12-31
----0.42% (1.4001)
2026-03-05
2026-03-05--4.10%
3879/8992
-0.50%
5571/9120
5.43%
4150/8973
10.37%
3400/8720
28.24%
3206/8311
46.07%
2892/7701
34.39%
1463/6793
----7.19%
3581/9042
15上银慧尚6个月持有期混合A
012334.jj
2,094.57万
2025-12-31
----0.29% (1.1150)
2026-03-05
2026-03-05--1.68%
5511/8992
0.23%
4268/9120
2.38%
5590/8973
2.69%
5710/8720
7.15%
6401/8311
10.18%
6355/7701
11.58%
3694/6793
----2.60%
6025/9042
16上银国企红利混合发起式A
020186.jj
1,442.05万
2025-12-31
----0.53% (1.1083)
2026-03-05
2026-03-05--1.77%
5437/8992
-0.48%
5547/9120
0.09%
7249/8973
2.98%
5571/8720
9.90%
5826/8311
--------5.31%
4522/9042
17上银先进制造混合发起式A
023158.jj
1,021.22万
2025-12-31
----1.05% (1.1323)
2026-03-05
2026-03-05--12.42%
967/8992
-0.69%
5791/9120
15.84%
1261/8973
4.22%
5099/8720
13.34%
5342/8311
--------11.85%
1982/9042
18上银价值增长3个月持有期混合A
013284.jj
241.61万
2025-12-31
----0.37% (1.4548)
2026-03-05
2026-03-05--11.62%
1103/8992
5.72%
857/9120
17.08%
1071/8973
28.19%
708/8720
41.39%
1911/8311
52.46%
2455/7701
43.46%
1022/6793
----9.32%
2749/9042
19上银医疗创新混合发起式A
026089.jj
------2.00% (0.8725)
2026-03-05
2026-03-05---11.02%
8926/8992
-8.88%
8915/9120
---------------12.92%
8974/9042
20上银丰泽混合发起式A
026202.jj
------0.29% (1.0052)
2026-03-05
2026-03-05--0.06%
7094/8992
-0.90%
5987/9120
--------------0.66%
7059/9042
21上银消费机遇混合发起式A
026271.jj
------0.22% (0.9572)
2026-03-05
2026-03-05---4.27%
8335/8992
-7.37%
8589/9120
---------------4.27%
8292/9042