东兴基金管理有限公司

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总资产规模269.29亿 (90/209) 非债券基金资产规模16.17亿 (119/209) 基金数量22基金经理数量8

东兴基金管理有限公司 - 全部基金列表

最后更新于:2023-12-01

# 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东兴鑫远三年定开
008165.jj
2020-04-1580.85亿----0.04%2.28%61.12%0.22%40.22%0.57%13.57%1.24%28.01%2.54%56.84%4.94%58.98%7.14%77.70%--------2.20%72.49%
2东兴鑫享6个月滚动持有债券发起A
013428.jj
2021-11-1722.69亿----0.02%5.24%4.12%0.47%9.08%1.18%1.51%2.44%1.89%5.04%3.56%11.09%1.55%------------5.66%5.52%
3东兴兴利债券A
003545.jj
2017-04-1415.74亿----0.01%4.15%12.99%0.30%24.81%0.78%6.35%1.89%7.50%3.98%13.26%8.21%6.41%13.42%10.85%22.82%24.92%----3.53%31.22%
4东兴兴瑞一年定开债A
007769.jj
2019-09-0612.14亿----0.08%11.34%0.44%1.06%1.22%2.62%0.33%5.72%0.27%11.18%0.47%19.56%0.68%27.73%1.03%--------7.45%2.35%
5东兴兴福一年定开A
007091.jj
2019-04-104.14亿----0.12%10.86%0.50%1.37%0.76%2.97%0.28%5.53%0.36%9.88%0.65%14.71%0.80%19.37%2.21%--------4.75%10.85%
6东兴连裕6个月滚动持有债A
015243.jj
2022-06-094.12亿----0.01%5.57%3.08%0.28%28.03%0.96%3.14%2.29%2.58%5.75%2.09%----------------4.75%10.78%
7东兴兴盈三个月定开债A
013164.jj
2021-12-302.80亿----0.09%2.26%61.88%0.04%78.05%-0.07%70.34%1.03%42.75%2.44%60.77%----------------2.00%76.02%
8东兴宸祥量化混合A
013166.jj
2022-01-281.92亿----0.18%2.59%8.03%1.94%20.32%0.50%10.88%-4.53%41.94%-2.92%27.51%----------------0.72%42.74%
9东兴连众一年持有期混合A
017507.jj
2023-07-181.64亿----0.05%----0.73%33.33%1.17%8.55%------------------------0.87%41.98%
10东兴兴财短债债券A
007394.jj
2019-10-236,645.99万----0.01%1.48%81.63%0.26%30.89%0.77%6.77%1.04%41.77%1.57%78.72%3.51%74.33%4.82%85.23%--------1.56%80.68%
11东兴兴晟混合A
009327.jj
2020-08-054,744.16万----0.23%2.70%7.70%1.65%22.75%1.06%8.82%-2.54%30.90%-2.08%24.23%-8.28%26.61%10.65%9.23%--------3.15%32.45%
12东兴宸瑞量化混合A
012297.jj
2021-06-303,076.74万----0.14%-3.93%38.18%0.64%34.95%-2.27%38.40%-5.51%47.38%-7.26%43.49%-20.72%43.25%-------------7.01%68.90%
13东兴中证消费50A
009116.jj
2020-04-222,825.57万-----1.29%-14.16%74.34%-3.06%84.82%-6.91%62.28%-3.96%27.59%-9.39%53.85%-24.03%44.54%-24.20%66.75%--------2.42%29.49%
14东兴蓝海财富混合A
002182.jj
2015-12-231,954.63万----0.15%-4.35%39.89%0.59%35.72%-1.16%25.43%1.79%3.97%-5.68%37.83%-14.23%34.22%-19.41%64.39%13.50%88.38%-----4.72%64.09%
15东兴未来价值混合A
004695.jj
2019-07-26693.81万----0.08%-2.12%29.44%1.06%28.76%2.45%6.47%0.83%7.08%-1.94%23.63%-23.63%47.99%-27.03%78.68%---------1.13%52.71%
16东兴改革精选混合A
001708.jj
2015-09-08222.11万----0.00%-17.08%81.20%0.00%92.87%1.57%7.67%-12.40%80.30%-21.59%87.56%-39.25%83.61%-40.05%94.73%-8.48%96.87%-----3.02%59.88%
17东兴兴源债券A
014716.jj
2022-01-132,340.79----0.00%-2.31%96.94%0.01%82.87%0.02%61.18%-0.53%86.90%-2.23%93.51%-----------------0.92%96.72%