先锋基金管理有限公司

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总资产规模26.71亿 (145/219) 非债券基金资产规模5,434.38万 (167/219) 基金数量7基金经理数量4

先锋基金管理有限公司 - 全部基金经理列表

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The fund manager's yield is calculated based on the rise and fall of the fund under management, and is weighted by the size of the asset.
When the fund manager's holdings data is missing for one month or more, if its style is bond type, the CSI convertible bond index yield during the same period will be used as a substitute; if it is other styles, the CSI 300 Index yield during the same period will be used as a substitute.
If the fund manager has not managed the fund for a certain period of time, then this will happen: the fund manager has only managed and operated for 8 years, but there will be ten years of return data.
# 基金经理(5) 基金经理风格管理年限当前管理的基金数量当前管理的基金数量当前管理的基金资产规模当前管理的非债券基金资产规模代表基金的ID最新收益率时间今年以来收益率一个月收益率三个月收益率六个月收益率一年收益率三年收益率五年收益率十年收益率管理基金以来年化收益率相同基金经理类型今年以来收益率排名相同基金经理类型一个月收益率排名相同基金经理类型三个月收益率排名相同基金经理类型六个月收益率排名相同基金经理类型一年收益率排名相同基金经理类型三年收益率排名相同基金经理类型五年收益率排名相同基金经理类型十年收益率排名相同基金经理类型管理基金以来年化收益率排名
1杜旭--5.002226.16亿030,000.00亿2025-11-100.27%
1008/1104
0.89%
101/1205
-0.81%
1172/1181
0.90%
526/1150
-4.21%
1062/1070
-24.41%
780/781
-----7.71%
1221/1224
91.30%8.31%99.24%45.69%99.25%99.87%99.75%99.67%99.75%
2黄意球--3.302226.16亿030,000.00亿2025-11-100.27%
1007/1104
0.89%
100/1205
-0.81%
1171/1181
0.90%
525/1150
-4.21%
1061/1070
-24.41%
779/781
-----8.12%
1222/1224
91.21%8.22%99.15%45.60%99.16%99.74%99.67%99.58%99.84%
3曾捷--0330.52亿0.52亿30,000.00亿2024-09-23-----------------5.28%
1689/1752
94.86%97.12%98.71%97.56%99.61%88.38%83.64%92.14%96.40%
4曾捷--2.90330.46亿0.46亿30,000.00亿2025-11-1021.42%
903/1555
-0.44%
934/1712
7.24%
1036/1681
18.27%
990/1633
18.20%
788/1526
------39.94%
59/1752
58.04%54.53%61.61%60.60%51.61%7.86%11.73%39.25%3.31%
5刘志强--2.90220.08亿0.08亿30,000.00亿2025-11-10-6.75%
1553/1555
-1.03%
1060/1712
1.99%
1402/1681
15.01%
1126/1633
-4.20%
1495/1526
-------4.51%
1663/1752
99.87%61.89%83.39%68.93%97.97%89.19%84.28%92.49%94.92%