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证券代码2 证券简称 内部类型26Q1 Wind二级分类 基金成立日 管理人 基金经理 份额25Q4 份额26Q1 份额变化26Q1 规模25Q4 规模26Q1 规模变化26Q1 总份额25Q4 总份额26Q1 总份额变化26Q1 总规模25Q4 总规模26Q1 总规模变化26Q1 机构比例25Q2 个人比例25Q2 机构比例25Q4 个人比例25Q4 机构规模 25Q4 机构规模 26Q1
023265景顺长城智能生活C主动权益偏股混合型基金2025-01-22景顺长城基金管理有限公司江山0.570.29-0.282.101.07-1.030.002.122.128.267.88-0.3892.397.6145.0954.910.950.48
022565银华华丰三个月持有A股债混合混合型FOF基金2025-01-22银华基金管理股份有限公司熊侃,王嘉鹏0.9727.2326.261.0128.4427.431.5650.1948.631.6252.3150.680.00100.000.00100.000.000.00
159397广发深证基准做市信用债ETF纯债被动指数型债券基金2025-01-22广发基金管理有限公司高翔,洪志1.291.04-0.24130.10106.35-23.751.291.04-0.24130.10106.35-23.7599.860.1499.880.12129.95106.22
023077诺德安锦利率债纯债中长期纯债型基金2025-01-22诺德基金管理有限公司景辉9.265.97-3.309.336.03-3.309.265.97-3.309.336.03-3.30100.000.00100.000.009.336.03
022566银华华丰三个月持有C股债混合混合型FOF基金2025-01-22银华基金管理股份有限公司熊侃,王嘉鹏0.5922.9622.370.6123.8623.250.0050.1950.191.6252.3150.680.00100.000.00100.000.000.00
022594金鹰安荣配置两年持有A股债混合债券型FOF基金2025-01-22金鹰基金管理有限公司李凯0.110.120.010.110.120.010.6314.1013.470.6414.3013.6691.608.4089.2910.710.100.11
022715贝莱德中证A500指数增强A股指增强指数型基金2025-01-23贝莱德基金管理有限公司王晓京0.620.37-0.250.750.44-0.311.031.080.051.251.290.0413.8786.134.1195.890.030.02
022716贝莱德中证A500指数增强C股指增强指数型基金2025-01-23贝莱德基金管理有限公司王晓京0.410.710.300.500.850.350.001.081.081.251.290.041.9998.011.5898.420.010.01
022745博道中证A500指数增强A股指增强指数型基金2025-01-23博道基金管理有限公司杨梦2.103.241.132.784.221.444.895.810.926.457.561.1130.2469.7647.0952.911.311.99
022746博道中证A500指数增强C股指增强指数型基金2025-01-23博道基金管理有限公司杨梦2.792.57-0.213.673.34-0.330.005.815.816.457.561.1111.3688.6425.5874.420.940.85
022676富国中证A500指数增强A股指增强指数型基金2025-01-23富国基金管理有限公司徐幼华,蔡卡尔,高明哲1.724.392.672.175.533.373.817.083.274.818.934.120.4499.5615.1384.870.330.84
022677富国中证A500指数增强C股指增强指数型基金2025-01-23富国基金管理有限公司徐幼华,蔡卡尔,高明哲2.092.700.612.643.400.760.007.087.084.818.934.125.4594.552.8397.170.070.10
022770兴业中证A500指数增强A股指增强指数型基金2025-01-23兴业基金管理有限公司楼华锋0.130.150.020.160.180.020.170.190.020.210.230.020.00100.000.00100.000.000.00
022771兴业中证A500指数增强C股指增强指数型基金2025-01-23兴业基金管理有限公司楼华锋0.040.040.000.050.050.000.000.190.190.210.230.0211.0588.9524.3275.680.010.01
159373嘉实创业板50ETF股指被动指数型基金2025-01-23嘉实基金管理有限公司张超梁2.772.01-0.764.493.22-1.272.772.01-0.764.493.22-1.2717.5482.4644.5255.482.001.43
023149兴业上证180ETF联接C股指被动指数型基金2025-01-23兴业基金管理有限公司徐成城0.910.76-0.161.050.84-0.210.001.081.081.491.20-0.290.00100.000.00100.000.000.00
023148兴业上证180ETF联接A股指被动指数型基金2025-01-23兴业基金管理有限公司徐成城0.380.33-0.050.440.36-0.081.291.08-0.211.491.20-0.290.00100.000.00100.000.000.00
023003兴全盈鑫多元配置三个月持有A主动权益混合型FOF基金2025-01-23兴证全球基金管理有限公司林国怀,丁凯琳15.2720.425.1517.7123.615.9033.8138.845.0339.1544.835.6826.4473.564.7595.250.841.12
023004兴全盈鑫多元配置三个月持有C主动权益混合型FOF基金2025-01-23兴证全球基金管理有限公司林国怀,丁凯琳18.5418.42-0.1221.4421.22-0.220.0038.8438.8439.1544.835.684.1095.902.7097.300.580.57
023349泓德裕和纯债D纯债混合债券型一级基金2025-01-23泓德基金管理有限公司姚学康0.010.010.000.010.010.000.004.644.645.405.420.020.00100.000.00100.000.000.00