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银河ESG主题混合发起式C

021477

1.1425

03-31

1.1425

03-31

-1.86%
3.68%
-11.48% 14.25%
免申购费

银河ESG主题混合发起式A

021476

1.1547

03-31

1.1547

03-31

-1.87%
4.31%
-11.35% 15.47%
1折起

银河科技成长混合发起式C

022705

1.5155

03-31

1.5155

03-31

-2.45%
49.62%
-4.89% 51.55%
免申购费

银河科技成长混合发起式A

022704

1.5269

03-31

1.5269

03-31

-2.45%
50.51%
-4.75% 52.69%
1折起

银河稳健混合

151001

2.3594

03-31

6.1640

03-31

-1.76%
18.76%
-0.16% 1276.25%
1折起

银河收益混合

151002

2.0558

03-31

3.7038

03-31

-0.91%
7.90%
-0.75% 589.67%
1折起

银河银泰混合

150103

0.7825

03-31

4.8795

03-31

-0.32%
15.55%
-1.20% 930.83%
后端收费

银河成长混合

519668

1.1460

03-31

3.7218

03-31

-2.38%
26.00%
-2.08% 564.54%
1折起

银河行业混合C

015670

1.004

03-31

1.004

03-31

-2.24%
21.55%
-0.20% -2.71%
免申购费

银河行业混合A

519670

1.035

03-31

3.848

03-31

-2.27%
22.49%
-0.10% 484.02%
1折起

银河蓝筹混合A

519672

4.859

03-31

4.859

03-31

-2.21%
25.01%
-1.18% 385.90%
1折起

银河蓝筹混合C

015669

4.714

03-31

4.714

03-31

-2.22%
24.02%
-1.36% -2.40%
免申购费

银河创新混合A

519674

8.0363

03-31

8.0363

03-31

-3.54%
24.74%
-7.04% 703.63%
1折起

银河创新混合C

014143

7.8308

03-31

7.8308

03-31

-3.54%
24.00%
-7.18% -8.66%
免申购费

银河消费混合A

519678

1.438

03-31

1.438

03-31

-0.48%
-12.00%
-15.76% 43.80%
1折起

银河消费混合C

015668

1.394

03-31

1.394

03-31

-0.50%
-12.71%
-15.92% -34.77%
免申购费

银河主题混合A

519679

4.9709

03-31

5.5389

03-31

-2.36%
26.68%
-2.07% 481.47%
1折起

银河主题混合C

018888

4.9032

03-31

4.9032

03-31

-2.36%
25.92%
-2.21% -5.19%

银河灵活配置混合A

519656

3.3878

03-31

3.3878

03-31

-0.47%
14.68%
-1.35% 238.78%
1折起

银河灵活配置混合C

519657

3.1162

03-31

3.1162

03-31

-0.47%
13.76%
-1.55% 211.62%
免申购费

银河美丽优萃混合A

519664

1.665

03-31

2.226

03-31

-0.12%
6.87%
-5.45% 131.06%
1折起

银河美丽优萃混合C

519665

1.505

03-31

2.022

03-31

-0.13%
5.84%
-5.70% 105.84%
免申购费

银河服务混合A

519655

1.6076

03-31

1.6076

03-31

-0.85%
7.33%
-5.43% 60.76%
1折起

银河服务混合C

018889

1.5802

03-31

1.5802

03-31

-0.85%
6.70%
-5.57% -1.90%

银河鑫利混合A

519652

1.546

10-22

1.678

10-22

0.07%
7.21%
7.21% 70.30%
已清盘

银河鑫利混合C

519653

1.491

10-22

1.596

10-22

--%
6.50%
6.66% 60.39%
已清盘

银河转型混合A

519651

0.446

03-31

0.446

03-31

-0.22%
2.29%
-5.51% -55.40%
1折起

银河转型混合C

017762

0.438

03-31

0.438

03-31

-0.45%
1.62%
-5.81% -25.76%
免申购费

银河鑫利混合I

519646

1.000

10-22

1.073

10-22

--%
--%
--% 5.25%
已清盘

银河智联混合A

519644

3.552

03-31

3.552

03-31

-3.29%
32.09%
5.53% 255.20%
1折起

银河智联混合C

017761

3.486

03-31

3.486

03-31

-3.30%
31.30%
5.38% 13.88%
免申购费

银河智造混合A

519642

2.885

03-31

2.885

03-31

-2.37%
23.08%
-5.35% 188.50%
1折起

银河智造混合C

017760

2.831

03-31

2.831

03-31

-2.38%
22.34%
-5.48% 2.20%
免申购费

银河君尚混合A

519613

1.7600

03-31

1.8740

03-31

-0.17%
3.08%
-1.17% 89.23%
1折起

银河君尚混合C

519614

1.6815

03-31

1.7865

03-31

-0.17%
2.56%
-1.30% 80.09%
免申购费

银河君尚混合I

519615

1.0000

03-31

1.0950

03-31

--%
--%
--% 6.50%
免申购费

银河君信混合A

519616

1.3423

03-31

1.5878

03-31

-2.30%
1.36%
-10.56% 68.58%
1折起

银河君信混合C

519617

1.3044

03-31

1.5289

03-31

-2.30%
0.86%
-10.67% 60.68%
免申购费

银河君信混合I

519618

1.0000

03-31

1.0200

03-31

--%
-16.02%
--% 1.86%
免申购费

银河君荣混合A

519619

1.6316

07-23

1.6696

07-23

--%
-0.21%
-6.76% 68.60%
已清盘

银河君荣混合C

519620

1.5630

07-23

1.6010

07-23

--%
-0.71%
-7.03% 61.56%
已清盘

银河君荣混合I

519621

1.0000

07-23

1.0380

07-23

--%
-33.55%
-37.89% 3.57%
已清盘

银河君耀混合A

519623

1.6310

10-22

1.6910

10-22

-0.02%
5.91%
7.01% 72.83%
已清盘

银河君耀混合C

519624

1.6164

10-22

1.6764

10-22

-0.01%
5.88%
7.02% 71.33%
已清盘

银河君盛混合A

519625

1.1166

07-23

1.3436

07-23

--%
14.32%
0.14% 35.92%
已清盘

银河君盛混合C

519626

1.1036

07-23

1.3296

07-23

--%
14.18%
0.07% 34.41%
已清盘

银河君润混合A

519627

1.0325

09-24

1.3884

09-24

--%
7.79%
2.64% 42.44%
已清盘

银河君润混合C

519628

1.0284

09-24

1.3942

09-24

--%
7.62%
2.55% 43.21%
已清盘

银河量化优选混合A

004250

2.4577

03-31

2.4577

03-31

-1.86%
22.02%
-2.50% 145.77%
1折起

银河量化优选混合C

018872

2.4179

03-31

2.4179

03-31

-1.86%
21.30%
-2.65% 38.32%

银河研究精选混合C

017759

1.9349

03-31

1.9349

03-31

-2.22%
21.76%
0.42% -5.27%
免申购费

银河研究精选混合A

150968

1.9822

03-31

4.6791

03-31

-2.22%
23.13%
1.08% 92.73%
1折起

银河量化稳进混合型证券投资基金

005126

1.5478

03-31

1.5478

03-31

-1.16%
15.75%
-2.39% 54.76%
1折起

银河智慧混合A

005211

2.2942

03-31

2.2942

03-31

-2.29%
19.55%
0.53% 129.40%
1折起

银河智慧混合C

017758

2.2504

03-31

2.2504

03-31

-2.29%
18.84%
0.38% -11.89%
免申购费

银河睿达混合A

005386

1.7570

11-26

1.8825

11-26

--%
12.78%
11.75% 95.19%
已清盘

银河睿达混合C

005387

1.7457

11-26

1.8712

11-26

--%
12.65%
11.64% 93.92%
已清盘

银河文体娱乐混合C

015667

0.9112

03-31

0.9112

03-31

-0.23%
-12.59%
-15.02% -27.02%
免申购费

银河文体娱乐混合A

005585

0.9397

03-31

0.9397

03-31

-0.23%
-11.89%
-14.86% -6.03%
1折起

银河和美生活混合A

006128

1.4247

03-31

1.4247

03-31

-3.46%
7.26%
0.52% 42.47%
1折起

银河和美生活混合C

015665

1.3919

03-31

1.3919

03-31

-3.47%
6.62%
0.36% -16.07%
免申购费

银河乐活优萃混合C

018871

0.8782

03-31

0.8782

03-31

0.07%
-1.21%
-8.64% -21.85%

银河乐活优萃混合A

006759

0.8925

03-31

0.8925

03-31

0.07%
-0.61%
-8.51% -10.75%
1折起

银河新动能混合C

017757

1.9612

03-31

1.9612

03-31

-2.37%
24.47%
-5.27% 10.89%
免申购费

银河新动能混合A

007203

1.9962

03-31

1.9962

03-31

-2.37%
25.21%
-5.14% 99.62%
1折起

银河产业动力混合A

010898

1.0545

03-31

1.0545

03-31

-2.48%
23.77%
-4.59% 5.45%
1折起

银河产业动力混合C

018870

1.0382

03-31

1.0382

03-31

-2.48%
23.04%
-4.73% 16.53%

银河臻优稳健配置混合A

008563

1.1010

09-10

1.1380

09-10

--%
5.01%
1.11% 13.94%
已清盘

银河臻优稳健配置混合C

008564

1.0955

09-10

1.1325

09-10

--%
4.93%
1.07% 13.37%
已清盘

银河医药混合C

015666

0.5880

03-31

0.5880

03-31

-0.79%
16.07%
8.35% -8.58%
免申购费

银河医药混合A

011335

0.6062

03-31

0.6062

03-31

-0.80%
17.00%
8.56% -39.38%
1折起

银河核心优势混合C

016981

0.8637

03-31

0.8637

03-31

-2.74%
36.25%
-5.97% -13.04%
免申购费

银河核心优势混合A

011629

0.8741

03-31

0.8741

03-31

-2.74%
36.79%
-5.87% -12.59%
1折起

银河成长优选一年持有混合A

013665

0.7586

03-31

0.7586

03-31

-1.30%
6.86%
-6.10% -24.14%
1折起

银河成长优选一年持有混合C

013666

0.7455

03-31

0.7455

03-31

-1.31%
6.42%
-6.19% -25.45%
免申购费

银河景气行业混合C

016857

0.9711

03-31

0.9711

03-31

-2.31%
22.40%
0.30% -2.89%
免申购费

银河景气行业混合A

016856

0.9908

03-31

0.9908

03-31

-2.32%
23.14%
0.45% -0.92%
1折起

银河价值成长混合A

016340

1.4392

03-31

1.4392

03-31

-2.61%
85.15%
7.48% 43.92%
1折起

银河价值成长混合C

016341

1.4101

03-31

1.4101

03-31

-2.62%
84.09%
7.33% 41.01%
免申购费

银河国企主题混合发起式C

019796

1.2274

03-31

1.2274

03-31

-1.06%
19.79%
-0.71% 22.74%

银河国企主题混合发起式A

019797

1.2341

03-31

1.2341

03-31

-1.07%
20.51%
-0.57% 23.41%

银河中证同业存单AAA指数7天持有期

018452

1.0335

03-31

1.0335

03-31

0.01%
1.27%
0.31% 3.35%

银河高端装备混合发起式A

020057

1.3574

03-31

1.3574

03-31

-0.16%
8.65%
-7.85% 35.74%

银河高端装备混合发起式C

020058

1.3519

03-31

1.3519

03-31

-0.16%
8.01%
-7.98% 35.19%

银河量化价值混合A

005053

1.3180

04-27

1.3180

04-27

0.40%
9.30%
0.75% 31.80%
已清盘

银河量化价值混合C

013026

0.9608

04-27

0.9608

04-27

0.39%
23.58%
0.44% -3.93%
已清盘

银河睿利混合C

519630

1.150

04-20

1.434

04-20

--%
-5.27%
-1.20% 46.83%
已清盘

银河鑫月享6个月定期开放混合A

004612

1.0134

10-31

1.2320

10-31

--%
2.38%
1.25% 24.71%
已清盘

银河鑫月享6个月定期开放混合C

004613

1.0046

10-31

1.2084

10-31

--%
2.07%
1.00% 22.06%
已清盘

银河睿利混合A

519629

1.159

04-20

1.443

04-20

--%
-5.31%
-1.19% 47.84%
已清盘

银河嘉谊混合A

005459

1.0525

05-15

1.1345

05-15

-0.01%
-21.34%
-6.19% 11.87%
已清盘

银河嘉谊混合C

005460

1.0477

05-15

1.1297

05-15

-0.01%
-21.41%
-6.24% 11.38%
已清盘

银河成长远航混合A

018069

0.9628

07-24

0.9628

07-24

-0.71%
--%
-2.82% -3.72%
已清盘

银河成长远航混合C

018070

0.9573

07-24

0.9573

07-24

-0.72%
--%
-3.17% -4.28%
已清盘

银河犇利混合A

519649

1.075

11-28

1.099

11-28

0.28%
6.53%
5.28% 10.07%
已清盘

银河嘉祥混合A

004659

1.0008

12-25

1.0008

12-25

0.01%
-5.15%
-5.00% 0.08%
已清盘

银河嘉祥混合C

004660

0.9982

12-25

0.9982

12-25

--%
-5.70%
-5.49% -0.17%
已清盘

银河君腾混合C

519634

1.0072

11-30

1.0387

11-30

-0.01%
0.77%
3.74% 3.90%
已清盘

银河君腾混合A

519633

1.0048

11-30

1.0363

11-30

-0.01%
0.52%
3.47% 3.65%
已清盘

银河量化成长混合

005584

1.0165

12-26

1.0165

12-26

-0.03%
--%
1.65% 1.65%
已清盘

银河犇利混合C

519650

1.057

11-28

1.081

11-28

-0.10%
4.76%
3.53% 8.23%
已清盘

银河招益6个月持有混合C

018526

1.1603

09-29

1.1603

09-29

0.31%
13.99%
11.92% 16.03%
已清盘

银河招益6个月持有混合A

018525

1.1650

09-29

1.1650

09-29

0.31%
14.22%
12.09% 16.50%
已清盘

银河量化多策略混合型证券投资基金

005586

1.0236

10-11

1.0236

10-11

0.04%
--%
2.36% 2.36%
已清盘

银河旺利混合I

519612

1.000

10-31

1.125

10-31

--%
--%
--% 12.42%
已清盘

银河恒益混合A

014927

0.9999

05-17

0.9999

05-17

0.02%
--%
0.01% 0.01%
已清盘

银河臻选多策略混合C

008387

1.0003

08-19

1.0003

08-19

--%
0.60%
--% 0.04%
已清盘

银河鸿利混合I

519647

1.000

12-26

1.160

12-26

--%
--%
--% 16.39%
已清盘

银河臻选多策略混合A

006945

1.0028

08-19

1.0028

08-19

--%
0.66%
--% 0.29%
已清盘

银河鸿利混合C

519641

1.029

12-26

1.169

12-26

--%
-2.56%
-2.65% 17.50%
已清盘

银河鸿利混合A

519640

1.048

12-26

1.216

12-26

--%
-1.69%
-1.87% 22.86%
已清盘

银河旺利混合A

519610

1.186

10-31

1.316

10-31

--%
-2.07%
-1.99% 33.77%
已清盘

银河恒益混合C

014928

0.9975

05-17

0.9975

05-17

0.02%
--%
-0.14% -0.23%
已清盘

银河旺利混合C

519611

1.157

10-31

1.279

10-31

--%
-2.85%
-2.69% 29.57%
已清盘

银河量化配置混合

005385

1.0135

08-10

1.0135

08-10

-0.13%
--%
1.35% 1.35%
已清盘
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