格林基金管理有限公司

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总资产规模240.36亿 (100/219) 非债券基金资产规模23.65亿 (111/219) 基金数量34基金经理数量12

格林基金管理有限公司 - 混合型基金列表

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# 基金名称(14) 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格林宏观回报混合A
020062.jj
9.04亿
2025-12-31
----0.96% (1.8188)
2026-02-27
2026-02-27--7.16%
3779/8988
1.56%
2608/9099
16.21%
2412/8911
13.32%
3803/8684
41.54%
2080/8304
--------43.15%
226/9025
2格林中证同业存单AAA指数7天持有期
021903.jj
1.72亿
2025-12-31
----0.010% (1.0180)
2026-02-27
2026-02-27--0.16%
8151/8988
0.09%
4950/9099
0.31%
7961/8911
0.57%
7559/8684
1.28%
7910/8304
--------1.25%
7065/9025
3格林高股息优选混合A
015289.jj
9,488.20万
2025-12-31
----0.28% (1.8793)
2026-02-27
2026-02-27--5.22%
4712/8988
-1.70%
7072/9099
8.49%
4633/8911
2.89%
6505/8684
34.44%
2777/8304
111.75%
525/7694
83.44%
315/6746
----21.19%
820/9025
4格林研究优选混合A
011977.jj
6,912.80万
2025-12-31
----0.98% (1.3411)
2026-02-27
2026-02-27--6.67%
4040/8988
1.33%
2832/9099
17.03%
2188/8911
17.32%
2979/8684
39.87%
2234/8304
69.12%
1810/7694
41.26%
1333/6746
----6.71%
4115/9025
5格林鑫利六个月持有期混合A
017079.jj
6,863.40万
2025-12-31
----0.10% (1.2562)
2026-02-27
2026-02-27--1.18%
7330/8988
-0.63%
6153/9099
2.01%
7050/8911
0.90%
7371/8684
10.23%
6086/8304
23.90%
5121/7694
------8.07%
3494/9025
6格林鑫悦一年持有期混合A
011775.jj
5,073.32万
2025-12-31
----0.31% (0.9324)
2026-02-27
2026-02-27--3.63%
5511/8988
1.62%
2543/9099
2.57%
6730/8911
-0.52%
7801/8684
1.73%
7791/8304
6.45%
7072/7694
-0.86%
5577/6746
-----1.47%
7970/9025
7格林稳健价值混合A
009940.jj
2,393.17万
2025-12-31
-----0.13% (0.5432)
2026-02-27
2026-02-27---3.74%
8871/8988
1.46%
2705/9099
-12.29%
8829/8911
-16.22%
8569/8684
-15.91%
8290/8304
-23.31%
7688/7694
-39.21%
6717/6746
-50.10%
3981/4017
---10.78%
8924/9025
8格林碳中和主题混合A
015856.jj
667.45万
2025-12-31
-----0.15% (1.8246)
2026-02-27
2026-02-27--9.15%
2872/8988
-2.30%
7438/9099
15.59%
2604/8911
23.50%
1855/8684
47.79%
1601/8304
107.44%
588/7694
82.70%
320/6746
----21.35%
808/9025
9格林伯锐灵活配置A
006181.jj
321.81万
2025-12-31
-----0.13% (0.8193)
2026-02-27
2026-02-27--7.79%
3471/8988
3.81%
1057/9099
7.63%
4830/8911
8.12%
4925/8684
0.13%
8029/8304
30.63%
4546/7694
2.31%
5310/6746
-23.38%
3511/4017
---2.70%
8212/9025
10格林创新成长混合A
007533.jj
253.79万
2025-12-31
----0.57% (0.8469)
2026-02-27
2026-02-27--12.20%
1857/8988
2.46%
1797/9099
20.86%
1420/8911
14.34%
3577/8684
23.33%
4249/8304
48.09%
3161/7694
3.37%
5207/6746
-29.52%
3666/4017
--1.55%
6935/9025
11格林伯元灵活配置A
004942.jj
194.18万
2025-12-31
-----0.25% (1.1049)
2026-02-27
2026-02-27--4.71%
4959/8988
-0.07%
5369/9099
8.70%
4572/8911
9.94%
4536/8684
17.12%
5107/8304
3.07%
7342/7694
-23.56%
6541/6746
-38.26%
3851/4017
--1.25%
7067/9025
12格林港股通臻选混合A
017000.jj
150.03万
2025-12-31
-----0.03% (1.3927)
2026-02-27
2026-02-27---1.53%
8599/8988
-1.16%
6667/9099
-6.42%
8698/8911
-16.50%
8577/8684
7.74%
6529/8304
--------19.76%
913/9025
13格林新兴产业混合A
014327.jj
75.68万
2025-12-31
-----0.07% (1.6158)
2026-02-27
2026-02-27--10.88%
2266/8988
3.94%
997/9099
9.90%
4254/8911
19.63%
2519/8684
37.74%
2456/8304
64.19%
2102/7694
36.78%
1578/6746
----12.84%
1970/9025
14格林科技成长混合A
021194.jj
17.51万
2025-12-31
----0.59% (1.0293)
2026-02-27
2026-02-27--2.21%
6467/8988
1.97%
2247/9099
7.01%
5026/8911
------------2.93%
6094/9025