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共 25921 条产品记录

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
519019大成景阳领先A主动权益偏股混合型基金2007-12-11大成基金管理有限公司齐炜中6.846.36-0.485.445.13-0.317.016.55-0.465.575.28-0.2916.5283.484.2595.750.230.22
110029易方达科讯主动权益偏股混合型基金2007-12-18易方达基金管理有限公司刘健维29.6925.23-4.4691.2677.39-13.8629.6925.23-4.4691.2677.39-13.8614.3285.6832.7167.2929.8525.32
121008国投瑞银成长优选主动权益偏股混合型基金2008-01-10国投瑞银基金管理有限公司桑俊6.886.59-0.304.273.97-0.306.886.59-0.304.273.97-0.301.7898.221.9198.090.080.08
121009国投瑞银稳定增利C纯债混合债券型一级基金2008-01-11国投瑞银基金管理有限公司王侃2.472.27-0.202.642.38-0.252.903.590.693.103.760.661.0998.910.9499.060.020.02
486001工银全球配置人民币主动权益国际(QDII)股票型基金2008-02-14工银瑞信基金管理有限公司林念2.873.050.184.533.65-0.882.873.050.184.533.65-0.882.1697.842.3397.670.110.08
519078汇添富增强收益A纯债混合债券型一级基金2008-03-06汇添富基金管理股份有限公司甘信宇13.1010.02-3.0915.3811.84-3.5419.3114.08-5.2322.5616.55-6.0194.485.5286.7613.2413.3410.27
001011华夏希望债券A股债混合混合债券型二级基金2008-03-10华夏基金管理有限公司吴彬,吴凡14.9528.0613.1218.5635.1516.5922.1534.9712.8227.5043.7916.2989.3110.6975.7924.2114.0626.64
001013华夏希望债券C股债混合混合债券型二级基金2008-03-10华夏基金管理有限公司吴彬,吴凡7.216.91-0.308.948.64-0.300.0034.9734.9727.5043.7916.2926.7173.2920.0579.951.791.73
110018易方达增强回报B纯债混合债券型一级基金2008-03-19易方达基金管理有限公司王晓晨85.6593.107.45119.36128.519.160.00352.77352.77436.32489.5453.2224.3375.6721.9378.0726.1828.18
110017易方达增强回报A纯债混合债券型一级基金2008-03-19易方达基金管理有限公司王晓晨224.79259.6734.88316.96361.0244.06310.44352.7742.34436.32489.5453.2240.1059.9037.4162.59118.58135.06
202009南方盛元红利主动权益偏股混合型基金2008-03-21南方基金管理股份有限公司吴冉劼4.994.83-0.165.805.64-0.164.994.83-0.165.805.64-0.162.0797.935.5394.470.320.31
270009广发增强债券C纯债混合债券型一级基金2008-03-27广发基金管理有限公司张芊,方抗4.634.48-0.156.276.10-0.177.629.021.409.7911.491.6920.4279.585.1094.900.320.31
519680交银增利债券A纯债混合债券型一级基金2008-03-31交银施罗德基金管理有限公司魏玉敏23.5125.341.8324.8926.561.6769.6684.8615.2073.7489.3415.6088.4411.5687.8712.1321.8723.34
519682交银增利债券C纯债混合债券型一级基金2008-03-31交银施罗德基金管理有限公司魏玉敏3.453.640.193.643.810.170.0084.8684.8673.7489.3415.6062.5837.4257.1642.842.082.18
163805中银动态策略A主动权益偏股混合型基金2008-04-03中银基金管理有限公司杨庆运3.963.75-0.212.652.28-0.383.973.75-0.212.662.28-0.380.00100.000.00100.000.000.00
395001中海稳健收益纯债混合债券型一级基金2008-04-10中海基金管理有限公司邵强,殷婧1.120.59-0.531.280.67-0.601.120.59-0.531.280.67-0.6085.6414.3644.5755.430.570.30
485007工银信用添利B纯债混合债券型一级基金2008-04-14工银瑞信基金管理有限公司谷衡,黄杨荔3.673.880.214.975.160.190.0016.0816.0816.2721.545.2751.5848.4267.4932.513.353.48
485107工银信用添利A纯债混合债券型一级基金2008-04-14工银瑞信基金管理有限公司谷衡,黄杨荔8.2812.203.9211.2916.385.0811.9416.084.1316.2721.545.2779.5920.4174.0026.008.3612.12
213008宝盈资源优选主动权益偏股混合型基金2008-04-15宝盈基金管理有限公司赵国进6.426.23-0.2013.9812.80-1.186.426.23-0.2013.9812.80-1.1822.8777.1331.9568.054.474.09
519110浦银安盛价值成长A主动权益偏股混合型基金2008-04-16浦银安盛基金管理有限公司高翔4.013.76-0.266.146.13-0.004.033.78-0.256.166.170.011.0198.991.1598.850.070.07