基金精选
基金产品
| 基金名称 | 最新净值
|
累计净值
|
日涨跌
|
今年以来
|
成立来
|
关注 | 申购费率折扣 | 操作 |
| 基金名称 | 万份收益
|
7日年化
|
关注 | 申购费率折扣 | 操作 |
| 基金名称 | 基金类型 | 认购期 | 起购金额 | 关注 | 申购费率折扣 | 操作 |
| 基金名称 | 最新净值
|
累计净值
|
日涨跌
|
今年以来
|
成立来
|
关注 | 申购费率折扣 | 操作 | |
|
银河中证A500ETF联接C 023950 |
1.1136 03-31 |
1.1286 03-31 |
-1.13% |
--%
|
-2.30% | 12.76% |
|
免申购费 | |
|
银河中证A500ETF联接A 023949 |
1.1163 03-31 |
1.1313 03-31 |
-1.13% |
--%
|
-2.23% | 13.03% |
|
1折起 | |
|
A500ETF银河 563660 |
1.2152 03-31 |
1.2294 03-31 |
-1.18% |
23.27%
|
-2.01% | 22.95% |
|
||
|
银河上证国有企业红利ETF发起式联接C 023163 |
1.0790 03-31 |
1.0820 03-31 |
-1.80% |
7.00%
|
4.95% | 8.20% |
|
免申购费 | |
|
银河上证国有企业红利ETF发起式联接A 023162 |
1.0828 03-31 |
1.0858 03-31 |
-1.80% |
7.31%
|
5.01% | 8.58% |
|
1折起 | |
|
银河上证国有企业红利ETF 530880 |
1.0525 03-31 |
1.0819 03-31 |
-1.91% |
8.46%
|
5.20% | 8.17% |
|
| 基金名称 | 最新净值
|
累计净值
|
日涨跌
|
今年以来
|
成立来
|
关注 | 申购费率折扣 | 操作 | |
|
银河康乐股票C 016018 |
2.584 03-31 |
2.584 03-31 |
-0.96% |
18.32%
|
8.57% | -6.61% |
|
免申购费 | |
|
银河康乐股票A 519673 |
2.651 03-31 |
2.651 03-31 |
-0.97% |
19.15%
|
8.78% | 165.10% |
|
1折起 | |
|
银河新材料股票发起式A 020276 |
1.6197 03-31 |
1.6197 03-31 |
-3.05% |
55.92%
|
2.32% | 61.97% |
|
||
|
银河新材料股票发起式C 020277 |
1.6084 03-31 |
1.6084 03-31 |
-3.05% |
55.00%
|
2.17% | 60.84% |
|
||
|
银河龙头股票C 016982 |
0.5612 08-04 |
0.5612 08-04 |
0.85% |
--%
|
-5.44% | -9.84% |
|
已清盘 | |
|
银河龙头股票A 008709 |
0.5625 08-04 |
0.5625 08-04 |
0.84% |
-19.16%
|
-5.22% | -43.75% |
|
已清盘 |
| 基金名称 | 最新净值
|
累计净值
|
日涨跌
|
今年以来
|
成立来
|
关注 | 申购费率折扣 | 操作 | |
|
银河中债0-3年政金债指数A 020252 |
1.0990 03-31 |
1.2040 03-31 |
--% |
1.55%
|
0.53% | 20.48% |
|
||
|
银河中债0-3年政金债指数C 020253 |
1.1040 03-31 |
1.2090 03-31 |
--% |
1.46%
|
0.50% | 20.97% |
|
||
|
银河CFETS0-3年期政金债指数A 021567 |
1.0178 03-31 |
1.0328 03-31 |
-0.01% |
1.71%
|
0.59% | 3.29% |
|
1折起 | |
|
银河CFETS0-3年期政金债指数C 021568 |
1.0153 03-31 |
1.0303 03-31 |
-0.01% |
1.60%
|
0.55% | 3.04% |
|
免申购费 | |
|
银河银信债券A 519667 |
1.0357 03-31 |
1.9731 03-31 |
-0.07% |
4.83%
|
1.23% | 118.85% |
|
1折起 | |
|
银河银信债券B 519666 |
1.0466 03-31 |
1.8951 03-31 |
-0.08% |
4.42%
|
1.13% | 133.26% |
|
免申购费 | |
|
银河银信债券E 021611 |
1.0587 03-31 |
1.0767 03-31 |
-0.20% |
4.73%
|
0.89% | 4.58% |
|
||
|
银河强化债券A 519676 |
1.1003 03-31 |
1.8413 03-31 |
-0.26% |
3.70%
|
-0.03% | 78.09% |
|
1折起 | |
|
银河强化债券C 023409 |
1.0982 03-31 |
1.0982 03-31 |
-0.27% |
3.53%
|
-0.12% | 2.56% |
|
免申购费 | |
|
通利债C 161506 |
1.316 03-31 |
1.716 03-31 |
-1.57% |
7.34%
|
0.08% | -100.00% |
|
免申购费 | |
|
银河通利债券LOF 161505 |
1.303 03-31 |
1.743 03-31 |
-1.59% |
7.60%
|
0.15% | 88.95% |
|
1折起 | |
|
银河领先债券A 519669 |
1.3009 03-31 |
1.8249 03-31 |
-0.05% |
3.62%
|
0.88% | 103.99% |
|
1折起 | |
|
银河领先债券C 017763 |
1.2903 03-31 |
1.3233 03-31 |
-0.05% |
3.36%
|
0.82% | 14.76% |
|
||
|
银河增利债券C 519661 |
1.5977 03-31 |
1.8977 03-31 |
-0.19% |
5.49%
|
0.24% | 93.75% |
|
免申购费 | |
|
银河增利债券A 519660 |
1.6682 03-31 |
1.9782 03-31 |
-0.19% |
5.92%
|
0.34% | 102.95% |
|
1折起 | |
|
银河泰利债券A 519675 |
1.0648 03-31 |
1.7087 03-31 |
-0.01% |
1.72%
|
0.01% | 27.23% |
|
1折起 | |
|
银河丰利债券A 519654 |
1.0436 03-04 |
1.2456 03-04 |
--% |
2.60%
|
0.49% | 24.64% |
|
1折起 | |
|
银河丰利债券C 022968 |
1.0506 03-04 |
1.0506 03-04 |
--% |
2.98%
|
1.15% | 2.67% |
|
免申购费 | |
|
银河泰利债券I 519648 |
1.0000 03-31 |
1.0264 03-31 |
--% |
--%
|
--% | -97.36% |
|
免申购费 | |
|
银河君怡债券 519622 |
1.0199 03-31 |
1.2803 03-31 |
-0.01% |
2.02%
|
0.16% | 31.34% |
|
1折起 | |
|
银河君辉3个月定开债券 519632 |
1.0805 03-31 |
1.2993 03-31 |
0.01% |
2.53%
|
0.64% | 32.11% |
|
||
|
银河铭忆3个月定开债券 005384 |
1.0791 03-27 |
1.3598 03-27 |
0.03% |
6.64%
|
6.54% | 41.41% |
|
||
|
银河庭芳3个月定开债券 005749 |
1.0997 03-31 |
1.2780 03-31 |
0.01% |
1.83%
|
0.71% | 30.45% |
|
1折起 | |
|
银河景行3个月定开债券 005790 |
1.0803 03-31 |
1.3120 03-31 |
0.02% |
2.48%
|
0.96% | 35.48% |
|
||
|
银河睿嘉债券A 006071 |
1.0382 03-31 |
1.2117 03-31 |
--% |
3.32%
|
0.58% | 23.13% |
|
1折起 | |
|
银河睿嘉债券C 006403 |
1.0413 03-31 |
1.1593 03-31 |
-0.01% |
3.19%
|
0.55% | 16.88% |
|
免申购费 | |
|
银河沃丰债券A 006070 |
1.1118 03-31 |
1.2675 03-31 |
0.01% |
1.90%
|
0.76% | 28.82% |
|
1折起 | |
|
银河沃丰债券C 022289 |
1.1115 03-31 |
1.1615 03-31 |
--% |
1.89%
|
0.77% | 3.58% |
|
||
|
银河睿丰定开债券 006086 |
1.0802 03-31 |
1.2389 03-31 |
0.01% |
1.83%
|
0.78% | 26.13% |
|
1折起 | |
|
银河中债央企20债券指数 007155 |
1.0621 03-18 |
1.2211 03-18 |
0.06% |
3.34%
|
0.44% | 23.92% |
|
1折起 | |
|
银河家盈债券A 006761 |
1.1585 03-31 |
2.6908 03-31 |
--% |
3.35%
|
0.66% | 189.19% |
|
1折起 | |
|
银河家盈债券C 024644 |
1.1568 03-31 |
1.1568 03-31 |
-0.01% |
2.04%
|
0.65% | 2.04% |
|
免申购费 | |
|
银河嘉裕债券 006767 |
1.0411 03-31 |
1.7156 03-31 |
-0.02% |
1.18%
|
0.59% | 78.19% |
|
1折起 | |
|
银河丰泰3个月定开债券 006856 |
1.0274 03-31 |
1.2201 03-31 |
-0.01% |
1.17%
|
0.66% | 23.77% |
|
||
|
银河久泰债券A 006828 |
1.1585 03-31 |
1.3865 03-31 |
-0.02% |
1.70%
|
0.43% | 42.74% |
|
1折起 | |
|
银河久泰债券C 023697 |
1.1564 03-31 |
1.1564 03-31 |
-0.02% |
1.63%
|
0.43% | 1.72% |
|
免申购费 | |
|
银河睿鑫债券 007406 |
1.0836 03-18 |
1.1806 03-18 |
0.02% |
3.30%
|
0.25% | 18.78% |
|
||
|
银河天盈中短债A 007635 |
1.1848 03-31 |
1.2132 03-31 |
0.02% |
2.67%
|
0.53% | 21.38% |
|
1折起 | |
|
银河天盈中短债C 007636 |
1.1614 03-31 |
1.1898 03-31 |
0.02% |
2.37%
|
0.46% | 19.03% |
|
免申购费 | |
|
银河天盈中短债E 021671 |
1.1838 03-31 |
1.1992 03-31 |
0.02% |
2.47%
|
0.48% | 3.46% |
|
||
|
银河聚星两年定开债券 007890 |
1.0419 03-27 |
1.1531 03-27 |
0.02% |
2.12%
|
0.27% | 16.13% |
|
||
|
银河聚利87个月定开债券 011083 |
1.1475 03-27 |
1.2175 03-27 |
0.07% |
4.13%
|
0.93% | 22.40% |
|
||
|
银河季季盈90天滚动持有短债A 015350 |
1.1077 03-31 |
1.1077 03-31 |
--% |
2.08%
|
0.72% | 10.77% |
|
1折起 | |
|
银河季季盈90天滚动持有短债C 015351 |
1.0999 03-31 |
1.0999 03-31 |
0.01% |
1.89%
|
0.67% | 9.99% |
|
免申购费 | |
|
银河景泰债券A 018534 |
1.0283 03-31 |
1.0593 03-31 |
-0.02% |
0.40%
|
0.54% | 5.98% |
|
||
|
银河景泰债券C 018535 |
1.0217 03-31 |
1.0527 03-31 |
-0.02% |
0.07%
|
0.46% | 5.31% |
|
||
|
银河星汇30天持有债券C 018528 |
1.0636 03-31 |
1.0636 03-31 |
0.01% |
1.60%
|
0.57% | 6.36% |
|
||
|
银河星汇30天持有债券A 018527 |
1.0689 03-31 |
1.0689 03-31 |
0.01% |
1.79%
|
0.61% | 6.89% |
|
||
|
银河中债1-5年政金债指数A 014843 |
1.0049 07-31 |
1.0049 07-31 |
0.12% |
-0.72%
|
-1.83% | 0.48% |
|
已清盘 | |
|
银河中债1-5年政金债指数C 014844 |
1.0160 07-31 |
1.0160 07-31 |
0.12% |
-0.75%
|
-1.80% | 1.61% |
|
已清盘 | |
|
银河兴益一年定开债券 012296 |
1.0734 08-02 |
1.1149 08-02 |
0.07% |
6.00%
|
2.55% | 11.86% |
|
已清盘 | |
|
银河久悦纯债债券型证券投资基金 007436 |
0.9534 09-16 |
0.9534 09-16 |
-0.03% |
--%
|
-4.68% | -4.68% |
|
已清盘 | |
|
银河回报债券C 519663 |
1.0039 12-09 |
1.7419 12-09 |
0.01% |
-3.46%
|
0.48% | 75.74% |
|
已清盘 | |
|
银河中债1-3年国开行债券指数A 013541 |
1.0106 11-21 |
1.0206 11-21 |
-0.02% |
1.54%
|
1.09% | 2.05% |
|
已清盘 | |
|
银河睿安债券 007403 |
1.0387 07-12 |
1.0387 07-12 |
0.01% |
1.94%
|
0.82% | 3.89% |
|
已清盘 | |
|
银河回报债券A 519662 |
1.0404 12-09 |
1.7944 12-09 |
0.01% |
-3.05%
|
0.87% | 82.01% |
|
已清盘 | |
|
银河君欣债券C 006407 |
0.9670 02-01 |
0.9670 02-01 |
--% |
-2.72%
|
--% | -3.30% |
|
已清盘 | |
|
银河君欣债券A 519631 |
0.9785 02-01 |
1.1970 02-01 |
--% |
-2.01%
|
--% | 19.57% |
|
已清盘 | |
|
银河中债1-3年国开行债券指数C 013542 |
1.0137 11-21 |
1.0237 11-21 |
-0.01% |
1.83%
|
1.39% | 2.37% |
|
已清盘 | |
|
银河如意债券 004661 |
1.0491 06-15 |
1.0491 06-15 |
--% |
0.34%
|
--% | 4.92% |
|
已清盘 |
| 基金名称 | 最新净值
|
累计净值
|
日涨跌
|
今年以来
|
成立来
|
关注 | 申购费率折扣 | 操作 | |
|
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 |
| 基金名称 |
万份收益
|
7日年化
|
关注 | 申购费率折扣 | 操作 |
|---|---|---|---|---|---|
|
银河银富货币B 150015 |
0.2890 03-31 |
1.074% |
|
0费率 | |
|
银河银富货币A 150005 |
0.2231 03-31 |
0.832% |
|
0费率 | |
|
银河钱包货币A 150988 |
0.2178 03-31 |
1.502% |
|
0费率 | |
|
银河钱包货币B 150998 |
0.2424 03-31 |
1.592% |
|
0费率 | |
|
银河钱包货币E 018943 |
0.1759 03-31 |
1.348% |
|
||
|
银河水星现金添利货币 026029 |
0.2460 03-31 |
0.757% |
|
0费率 |
| 基金名称 | 最新净值
|
累计净值
|
日涨跌
|
今年以来
|
成立来
|
关注 | 申购费率折扣 | 操作 | |
|
银河中证电池主题指数发起式A 026958 |
1.0000 03-30 |
1.0000 03-30 |
--% |
--%
|
--% | --% |
|
||
|
银河中证电池主题指数发起式C 026959 |
1.0000 03-30 |
1.0000 03-30 |
--% |
--%
|
--% | --% |
|
||
|
银河中证红利低波动100指数C 021389 |
1.1173 03-31 |
1.1283 03-31 |
-0.23% |
6.39%
|
2.00% | 12.83% |
|
免申购费 | |
|
银河中证红利低波动100指数A 021388 |
1.1170 03-31 |
1.1332 03-31 |
-0.23% |
6.72%
|
2.08% | 13.33% |
|
1折起 | |
|
银河中证机器人指数发起式A 021301 |
1.4279 03-31 |
1.4279 03-31 |
-0.93% |
3.71%
|
-8.45% | 42.79% |
|
1折起 | |
|
银河中证机器人指数发起式C 021302 |
1.4223 03-31 |
1.4223 03-31 |
-0.93% |
3.40%
|
-8.52% | 42.23% |
|
免申购费 | |
|
银河中证800指数增强A 025723 |
0.9485 03-31 |
0.9485 03-31 |
-1.09% |
--%
|
-5.27% | -5.15% |
|
||
|
银河中证800指数增强C 025724 |
0.9472 03-31 |
0.9472 03-31 |
-1.10% |
--%
|
-5.37% | -5.28% |
|
||
|
银河中证A500指数增强A 022706 |
1.1783 03-31 |
1.2275 03-31 |
-1.24% |
20.43%
|
-1.85% | 23.12% |
|
1折起 | |
|
银河中证A500指数增强C 022707 |
1.1756 03-31 |
1.2217 03-31 |
-1.25% |
19.95%
|
-1.95% | 22.50% |
|
免申购费 | |
|
银河中证通信设备主题指数发起式A 021988 |
2.1175 03-31 |
2.1175 03-31 |
-2.17% |
121.50%
|
2.29% | 111.75% |
|
1折起 | |
|
银河中证通信设备主题指数发起式C 021989 |
2.1086 03-31 |
2.1086 03-31 |
-2.18% |
120.84%
|
2.22% | 110.86% |
|
免申购费 | |
|
银河定投宝腾安指数 519677 |
3.677 03-31 |
3.677 03-31 |
-1.50% |
23.06%
|
1.07% | 267.70% |
|
免申购费 | |
|
银河沪深300价值指数A 519671 |
1.984 03-31 |
2.209 03-31 |
0.10% |
7.24%
|
-3.74% | 129.55% |
|
1折起 | |
|
银河沪深300价值指数C 013074 |
1.296 03-31 |
1.296 03-31 |
0.08% |
7.11%
|
-3.79% | 29.60% |
|
免申购费 | |
|
沪港深红利 LOF 501307 |
1.2795 03-31 |
1.2795 03-31 |
-1.19% |
19.22%
|
3.75% | 27.95% |
|
1折起 | |
|
银河高 C 501308 |
1.2546 03-31 |
1.2546 03-31 |
-1.19% |
18.92%
|
3.69% | 25.46% |
|
免申购费 | |
|
银河沪深300指数增强A 007275 |
1.6052 03-31 |
1.6672 03-31 |
-0.86% |
15.59%
|
-4.38% | 68.03% |
|
1折起 | |
|
银河沪深300指数增强C 007276 |
1.5526 03-31 |
1.6136 03-31 |
-0.87% |
15.01%
|
-4.51% | 62.52% |
|
免申购费 | |
|
银河沪深300成长分级 161507 |
1.108 08-29 |
1.247 08-29 |
-0.09% |
-9.89%
|
-14.08% | 24.91% |
|
已清盘 | |
|
银河沪深300成长分级B 150122 |
1.142 08-24 |
1.142 08-24 |
-0.17% |
-19.71%
|
-25.06% | 18.09% |
|
已清盘 | |
|
银河沪深300成长分级A 150121 |
1.032 08-24 |
1.309 08-24 |
--% |
5.00%
|
3.30% | 35.25% |
|
已清盘 |
| 基金名称 | 最新净值
|
累计净值
|
日涨跌
|
今年以来
|
成立来
|
关注 | 申购费率折扣 | 操作 | |
|
银河通利分级债券B 150079 |
1.000 05-08 |
1.000 05-08 |
-8.70% |
-10.26%
|
-6.81% | -0.75% |
|
1折起 |
| 基金名称 | 最新净值
|
累计净值
|
日涨跌
|
今年以来
|
成立来
|
关注 | 申购费率折扣 | 操作 | |
|
银河银丰证券投资基金 500058 |
1.0051 08-11 |
3.6831 08-11 |
-0.66% |
-10.02%
|
-2.04% | 376.15% |
|
-- |
| 基金名称 | 最新净值
|
累计净值
|
日涨跌
|
今年以来
|
成立来
|
关注 | 申购费率折扣 | 操作 | |
|
银河致远养老目标日期2045三年持有混合发起式(FOF) 015726 |
1.0935 03-26 |
1.0935 03-26 |
0.73% |
10.15%
|
-0.51% | 10.15% |
|
1折起 | |
|
银河颐年稳健养老一年持有混合(FOF)Y 017330 |
1.0798 03-26 |
1.0798 03-26 |
0.34% |
10.37%
|
0.35% | 10.27% |
|
||
|
银河颐年稳健养老一年持有混合(FOF)A 012386 |
1.0679 03-26 |
1.0679 03-26 |
0.34% |
10.00%
|
0.27% | 7.15% |
|
1折起 | |
|
银河悦宁稳健养老目标一年持有混合发起(FOF) 013135 |
0.9172 08-23 |
0.9172 08-23 |
-0.02% |
-4.01%
|
-2.01% | -8.30% |
|
已清盘 |
信息披露
银河资讯