中国人保资产管理有限公司

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总资产规模77.73亿 (123/209) 非债券基金资产规模12.60亿 (124/209) 基金数量33基金经理数量12

中国人保资产管理有限公司 - 全部基金列表

最后更新于:2023-12-07

# 基金名称成立日期总资产规模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人保福欣3个月定开债券A
009517.jj
2021-12-2431.30亿----0.02%2.62%48.22%-0.18%82.52%0.13%74.04%0.57%71.11%3.12%40.33%----------------2.41%67.09%
2人保沪深300
006600.jj
2019-02-288.80亿----0.37%-9.25%46.82%-5.31%64.03%-8.28%67.27%-8.50%49.38%-11.11%45.89%-29.27%53.82%-25.87%68.08%--------2.51%27.14%
3人保安和定开
008859.jj
2022-12-165.20亿----0.02%2.12%67.29%0.15%31.24%0.44%41.83%0.90%45.87%--------------------2.20%71.55%
4人保安睿定开
008432.jj
2022-12-145.11亿----0.00%1.74%77.23%0.00%42.10%0.14%73.53%0.62%68.21%--------------------1.82%77.55%
5人保民富债券A
018322.jj
2023-05-123.83亿----0.21%-----0.97%93.05%-1.10%89.99%-1.66%91.79%---------------------1.61%97.53%
6人保鑫裕增强债券A
006459.jj
2018-11-132.17亿----0.15%-2.09%95.50%-1.02%93.67%-1.35%91.80%-2.72%95.18%-2.45%93.62%-5.57%91.83%-1.25%93.86%8.79%94.43%----1.71%78.60%
7人保鑫利债券A
006114.jj
2018-08-091.62亿----0.17%-2.55%96.44%-1.09%94.25%-1.57%93.14%-2.86%95.46%-2.90%94.43%-7.54%94.17%-3.10%95.45%7.36%95.84%----1.64%79.27%
8人保鑫瑞中短债债券A
006073.jj
2018-08-301.57亿----0.00%2.67%47.02%0.12%38.99%0.45%41.43%0.99%39.45%2.94%46.46%4.90%58.36%7.58%74.80%11.35%90.43%----2.28%69.88%
9人保精选混合A
005041.jj
2018-02-019,755.07万----0.39%-16.04%72.95%-3.06%59.72%-5.70%63.24%-15.55%88.92%-18.18%74.02%-31.80%61.98%-22.96%67.16%49.17%48.65%----5.09%23.23%
10人保双利A
004988.jj
2017-12-048,535.33万----0.03%0.81%12.50%-0.93%29.79%-1.57%29.43%-3.65%30.88%0.14%11.73%0.79%5.51%3.64%21.05%15.59%86.28%----2.54%33.55%
11人保鑫泽纯债A
006854.jj
2019-04-036,523.80万----0.15%-0.33%89.82%-0.82%91.40%-0.70%86.85%-1.15%88.26%-0.20%87.20%2.43%77.60%8.32%68.20%--------1.54%80.16%
12人保行业轮动混合A
006573.jj
2019-04-246,023.71万----0.98%-23.82%91.50%-4.09%71.39%-12.33%95.44%-21.09%97.32%-25.76%91.74%-43.84%90.17%-30.99%81.55%--------1.51%38.13%
13人保利丰纯债A
008430.jj
2022-09-095,076.19万----0.01%3.40%26.23%1.64%0.25%1.74%0.74%2.24%2.76%3.65%25.08%----------------2.68%59.52%
14人保转型混合A
005953.jj
2018-06-214,795.69万----0.55%-16.95%75.92%-0.52%22.36%-1.93%33.56%-9.97%65.23%-19.81%78.94%-48.28%95.61%-43.27%95.75%-1.76%94.54%-----1.20%51.10%
15人保中证500
006611.jj
2018-12-073,710.77万----0.25%-4.21%29.24%-2.06%29.45%-4.08%38.03%-6.54%32.03%-8.75%34.02%-20.20%24.12%-8.55%25.59%38.96%53.65%----6.80%11.30%
16人保鑫盛纯债A
006638.jj
2018-12-253,130.45万----0.16%-0.14%89.04%-0.60%89.07%-0.73%87.09%-0.89%86.93%-0.26%87.58%2.68%76.97%9.47%52.94%--------0.52%86.41%
17人保优势产业混合A
006419.jj
2018-12-251,007.47万-----0.24%-11.36%56.83%-3.75%67.41%-6.81%70.69%-8.70%57.99%-14.33%60.89%-38.70%80.25%-37.92%90.42%---------1.46%52.36%
18人保量化锐进混合A
008300.jj
2020-12-23785.54万-----0.64%-6.86%43.38%-4.08%71.27%-5.48%61.70%-11.66%74.47%-11.06%49.71%-37.47%76.94%-------------13.48%81.45%
19人保量化混合A
006225.jj
2018-09-2798.17万-----0.52%-5.23%38.27%-3.85%68.69%-17.92%99.66%-5.41%39.77%-18.72%75.72%-58.89%99.77%-44.78%96.90%---------4.65%62.45%
20人保中债1-3年国开债指数
008194.jj
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21人保中债1-3年农发债指数
008196.jj
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22人保利淳债券
009521.jj
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23人保中债1-5年政策性金融债A
019192.jj
2023-11-02------0.03%----0.05%60.71%----------------------------0.07%90.93%