兴业基金管理有限公司

CIB FUND MANAGEMENT CO.,LTD.

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最新更新日期:2025-01-02

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基金名称 代码 收益详情 基金类型 日期

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兴业多策略混合 000963 混合型-灵活 01-02 -4.20% -4.62% 2.42% 20.56% 26.93% -1.99% 77.70%
兴业安弘3个月定开债 005388 债券型-长债 01-02 0.26% 0.76% 1.88% 1.53% 17.56% 0.10% 47.51%
兴业研究精选混合A 010460 混合型-偏股 01-02 -5.12% -3.07% 11.38% 21.78% 16.46% -2.02% 33.05%
兴业研究精选混合C 015947 混合型-偏股 01-02 -5.13% -3.09% 11.29% 21.62% 16.11% -2.02% 2.26%
兴业国企改革混合A 001623 混合型-灵活 01-02 -0.68% 1.57% -0.56% 2.28% 14.06% -1.44% 132.80%
兴业国企改革混合C 015946 混合型-灵活 01-02 -0.69% 1.54% -0.64% 2.08% 13.73% -1.45% -3.91%
兴业聚华混合A 005984 混合型-偏债 01-02 -2.05% 0.19% 4.02% 9.00% 11.96% -1.21% 44.66%
兴业沪深300ETF发起联接A 015906 指数型-股票 01-02 -3.92% -3.08% -5.08% 8.88% 11.87% -2.73% 0.63%
兴业沪深300ETF发起联接C 015907 指数型-股票 01-02 -3.93% -3.11% -5.13% 8.77% 11.65% -2.73% 0.16%
兴业聚华混合C 005985 混合型-偏债 01-02 -2.06% 0.14% 3.86% 8.67% 11.29% -1.22% 40.55%
兴业聚源混合A 002660 混合型-偏债 01-02 -1.37% 1.57% 5.92% 8.10% 10.81% -0.94% 54.32%
兴业聚利灵活配置混合A 001272 混合型-灵活 01-02 -3.35% -1.84% -2.38% 7.68% 10.57% -2.23% 113.94%
兴业聚源混合C 013742 混合型-偏债 01-02 -1.38% 1.54% 5.84% 7.94% 10.48% -0.94% 0.43%
兴业致远混合A 015911 混合型-偏股 01-02 -5.67% -5.54% 6.44% 17.73% 10.24% -2.12% -2.66%
兴业致远混合C 015912 混合型-偏股 01-02 -5.67% -5.58% 6.31% 17.44% 9.69% -2.12% -3.69%
兴业优势产业混合A 010181 混合型-偏股 01-02 -4.14% -3.33% -3.88% 6.79% 9.49% -2.50% -16.12%
兴业收益增强债券A 001257 债券型-混合二级 01-02 -1.17% 0.77% 4.45% 6.00% 8.73% -0.76% 70.83%
兴业优势产业混合C 010182 混合型-偏股 01-02 -4.16% -3.39% -4.09% 6.35% 8.61% -2.51% -18.89%
兴业机遇债券A 005717 债券型-混合二级 01-02 -1.50% 0.34% 4.86% 6.74% 8.54% -1.00% 56.52%
兴业收益增强债券C 001258 债券型-混合二级 01-02 -1.14% 0.65% 4.30% 5.81% 8.29% -0.79% 63.64%
兴业机遇债券C 008222 债券型-混合二级 01-02 -1.51% 0.30% 4.75% 6.53% 8.11% -1.01% 47.59%
兴业嘉鸿一年定开债发起式 013213 债券型-长债 01-02 0.34% 0.94% 1.87% 2.21% 7.82% 0.12% 12.29%
兴业聚福一年持有期混合A 017060 混合型-偏债 01-02 -1.01% 0.74% 3.63% 7.81% 7.58% -0.60% 9.25%
兴业嘉华一年定开债券发起式 008517 债券型-长债 01-02 0.65% 1.31% 2.44% 4.20% 7.43% 0.23% 21.88%
兴业中证500指数增强A 015507 指数型-股票 01-02 -4.69% -5.01% -2.96% 8.29% 7.35% -2.93% -4.08%
兴业聚福一年持有期混合C 017061 混合型-偏债 01-02 -1.01% 0.71% 3.55% 7.64% 7.26% -0.60% 8.64%
兴业纯债6个月定开债A 005988 债券型-混合一级 01-02 0.37% 1.75% 2.99% 3.91% 7.24% 0.19% 32.82%
兴业消费精选混合A 010617 混合型-偏股 01-02 -1.40% -1.46% -0.15% 13.25% 7.24% -1.07% -25.80%
兴业嘉福一年定开债券发起式 011960 债券型-长债 01-02 0.09% 0.16% 0.18% 4.30% 7.20% 0.05% 17.73%
兴业睿进混合A 009539 混合型-偏股 01-02 -3.91% -2.82% -1.16% 9.00% 7.14% -2.42% -19.59%
兴业中证500指数增强C 015508 指数型-股票 01-02 -4.70% -5.04% -3.03% 8.13% 7.04% -2.94% -4.81%
兴业定开债A 000546 债券型-混合一级 12-31 - 1.65% 3.03% 3.27% 7.03% 7.03% 83.31%
兴业嘉瑞6个月定开债A 003952 债券型-混合一级 01-02 1.06% 1.84% 2.71% 2.75% 6.99% 0.43% 43.52%
兴业龙腾双益平衡混合 005706 混合型-偏债 01-02 -0.04% 2.29% 1.13% 2.07% 6.91% -0.71% 76.03%
兴业年年利定开债 001019 债券型-混合一级 12-31 - 1.13% 3.47% 2.60% 6.85% 6.85% 58.20%
兴业添益6个月定开债券 016023 债券型-长债 01-02 0.56% 1.74% 2.94% 3.85% 6.83% 0.28% 10.49%
兴业嘉远债券 018829 债券型-长债 01-02 0.39% 1.82% 3.05% 3.86% 6.82% 0.20% 7.77%
兴业纯债6个月定开债C 005989 债券型-混合一级 01-02 0.36% 1.72% 2.89% 3.70% 6.81% 0.19% 29.54%
兴业180天持有期债券A 016301 债券型-混合一级 01-02 0.47% 1.57% 2.68% 3.84% 6.77% 0.22% 8.99%
兴业福益债券A 002524 债券型-混合一级 01-02 0.21% 1.34% 3.55% 2.80% 6.75% -0.01% 35.15%
兴业消费精选混合C 010618 混合型-偏股 01-02 -1.41% -1.50% -0.29% 12.96% 6.69% -1.06% -27.30%
兴业嘉润3个月定开债 005710 债券型-长债 01-02 0.74% 1.56% 2.83% 3.20% 6.63% 0.25% 34.03%
兴业180天持有期债券C 016302 债券型-混合一级 01-02 0.47% 1.55% 2.64% 3.75% 6.61% 0.22% 8.60%
兴业睿进混合C 009540 混合型-偏股 01-02 -3.92% -2.87% -1.29% 8.72% 6.60% -2.43% -21.36%
兴业瑞丰6个月定开债 004141 债券型-长债 01-02 0.60% 1.85% 2.84% 3.22% 6.51% 0.37% 39.75%
兴业嘉瑞6个月定开债C 003953 债券型-混合一级 01-02 1.04% 1.81% 2.61% 2.54% 6.51% 0.42% 39.38%
兴业定开债C 002507 债券型-混合一级 12-31 - 1.55% 2.89% 3.06% 6.50% 6.50% 42.97%
兴业启元一年定开债A 003309 债券型-混合一级 12-31 - 1.65% 3.78% 3.18% 6.45% 6.45% 39.08%
兴业福鑫债券 004140 债券型-长债 01-02 0.57% 1.56% 2.86% 3.24% 6.41% 0.21% 39.22%
兴业天融债券A 002638 债券型-长债 01-02 0.29% 1.47% 2.59% 3.34% 6.36% 0.14% 42.39%
兴业裕恒债券A 003671 债券型-长债 01-02 0.55% 1.46% 2.84% 3.25% 6.19% 0.22% 34.22%
兴业聚丰混合A 002668 混合型-偏债 01-02 -0.74% 0.47% 2.02% 3.05% 6.12% -0.53% 38.53%
兴业聚惠混合A 001547 混合型-偏债 01-02 0.16% 0.72% 1.75% 2.34% 6.06% -0.03% 75.91%
兴业启元一年定开债C 003310 债券型-混合一级 12-31 - 1.62% 3.68% 2.97% 6.03% 6.03% 34.56%
兴业养老2035(FOF)Y 017405 FOF-均衡型 12-30 0.60% 1.29% 1.07% 8.11% 6.02% 6.02% 0.29%
兴业6个月定开债券 005340 债券型-长债 01-02 0.40% 1.16% 2.43% 2.66% 6.01% 0.14% 37.06%
兴业聚惠混合C 002923 混合型-偏债 01-02 0.16% 0.72% 1.73% 2.30% 5.96% -0.02% 51.43%
兴业绿色纯债一年定开债券A 009237 债券型-长债 12-31 - 1.60% 2.46% 2.63% 5.84% 5.84% 18.04%
兴业聚丰混合C 013747 混合型-偏债 01-02 -0.74% 0.45% 1.94% 2.89% 5.81% -0.53% -1.21%
兴业养老2035(FOF)A 006894 FOF-均衡型 12-30 0.60% 1.26% 0.97% 7.90% 5.62% 5.62% 7.90%
兴业3个月定开债券 005338 债券型-长债 01-02 0.42% 0.96% 2.08% 2.22% 5.50% 0.15% 31.50%
兴业均衡优选混合A 018754 混合型-偏股 01-02 -3.96% -3.32% -2.93% 4.54% 5.47% -2.41% 1.95%
兴业嘉荣一年定开债券 009105 债券型-长债 01-02 0.61% 1.29% 2.14% 2.30% 5.42% 0.26% 16.81%
兴业绿色纯债一年定开债券C 009238 债券型-长债 12-31 - 1.56% 2.35% 2.43% 5.42% 5.42% 15.93%
兴业中证银行50金融债指数A 008042 指数型-固收 01-02 0.27% 1.03% 2.08% 2.57% 5.38% 0.11% 20.45%
兴业添利债券 001299 债券型-长债 01-02 0.39% 1.20% 2.27% 2.56% 5.27% 0.17% 53.72%
兴业中证银行50金融债指数C 008043 指数型-固收 01-02 0.28% 1.03% 2.05% 2.50% 5.25% 0.11% 19.80%
兴业成长动力混合A 002597 混合型-灵活 01-02 -3.77% -2.56% -2.31% 4.36% 5.19% -1.85% 61.96%
兴业养老2035(FOF)C 006895 FOF-均衡型 12-30 0.58% 1.22% 0.87% 7.68% 5.19% 5.19% 5.91%
兴业丰利债券 002268 债券型-长债 01-02 0.38% 1.04% 1.96% 2.31% 5.11% 0.17% 31.91%
兴业聚鑫灵活配置混合A 002498 混合型-灵活 01-02 -0.67% 0.88% 3.77% 4.57% 4.94% -0.47% 52.97%
兴业均衡优选混合C 018755 混合型-偏股 01-02 -3.96% -3.35% -3.05% 4.28% 4.94% -2.42% 1.25%
兴业睿信一年定开债券发起式 016601 债券型-长债 12-31 0.14% 0.98% 1.91% 2.04% 4.88% 4.88% 9.06%
兴业一年持有债券A 014248 债券型-混合一级 01-02 0.25% 0.78% 1.94% 1.94% 4.87% 0.06% 11.79%
兴业成长动力混合C 020106 混合型-灵活 01-02 -3.78% -2.58% -2.39% 4.20% 4.86% -1.85% 1.61%
兴业天禧债券 002661 债券型-长债 01-02 0.37% 0.89% 1.94% 2.14% 4.83% 0.15% 33.28%
兴业安和6个月定开债 005442 债券型-长债 01-02 0.39% 0.93% 1.99% 1.93% 4.79% 0.15% 30.01%
兴业裕丰债券 003640 债券型-长债 01-02 0.23% 0.79% 1.98% 1.71% 4.73% 0.10% 35.74%
兴业一年持有债券C 014249 债券型-混合一级 01-02 0.23% 0.75% 1.88% 1.83% 4.65% 0.05% 11.12%
兴业聚鑫灵活配置混合C 008221 混合型-灵活 01-02 -0.68% 0.89% 3.67% 4.40% 4.63% -0.47% 24.47%
兴业聚兴混合A 012025 混合型-偏债 01-02 -0.24% 0.75% 1.45% 2.26% 4.59% -0.19% 5.41%
兴业鼎泰一年定开债券发起式 008896 债券型-长债 01-02 0.61% 1.18% 2.10% 2.37% 4.43% 0.22% 15.79%
兴业中债1-3年政金债A 002659 指数型-固收 01-02 0.10% 0.86% 1.58% 2.13% 4.40% 0.03% 35.01%
中证兴业中高等级信用债指数A 003429 指数型-固收 01-02 0.28% 0.63% 1.27% 1.67% 4.35% 0.12% 46.81%
兴业优债增利债券A 002338 债券型-混合一级 01-02 0.38% 0.89% 1.86% 2.06% 4.29% 0.13% 28.59%
兴业中债1-3年政金债C 007495 指数型-固收 01-02 0.10% 0.86% 1.55% 2.08% 4.29% 0.03% 18.34%
兴业兴智一年持有期混合A 011820 混合型-偏股 01-02 -3.89% -2.51% -3.38% 3.48% 4.29% -2.01% -33.11%
兴业嘉辰一年定开债券发起式 017500 债券型-长债 12-31 - 0.93% 1.85% 1.89% 4.29% 4.29% 5.49%
兴业聚兴混合C 012026 混合型-偏债 01-02 -0.25% 0.71% 1.38% 2.11% 4.28% -0.19% 4.38%
中证兴业中高等级信用债指数C 020286 指数型-固收 01-02 0.28% 0.62% 1.25% 1.61% 4.24% 0.13% 4.57%
兴业稳健优选6个月持有混合(FOF)A 018812 FOF-稳健型 12-30 0.15% 1.01% 1.06% 3.10% 4.23% 4.22% 4.88%
兴业裕华债券C 020261 债券型-长债 01-02 0.34% 0.92% 2.22% 2.36% 4.18% 0.12% 4.53%
兴业丰泰债券 002445 债券型-长债 01-02 0.20% 0.59% 1.39% 1.63% 4.08% 0.10% 31.97%
兴业裕华债券A 003672 债券型-长债 01-02 0.34% 0.93% 1.97% 2.14% 3.99% 0.12% 30.20%
兴业稳健优选6个月持有混合(FOF)C 018813 FOF-稳健型 12-30 0.15% 0.99% 1.00% 2.97% 3.97% 3.96% 4.55%
兴业120天滚动持有债券A 016816 债券型-中短债 01-02 0.28% 0.73% 1.53% 1.78% 3.94% 0.08% 9.03%
兴业优债增利债券C 008392 债券型-混合一级 01-02 0.37% 0.86% 1.77% 1.88% 3.92% 0.12% 13.69%
兴业稳泰66个月定开债券 009732 债券型-长债 12-31 - 0.34% 0.96% 1.93% 3.80% 3.80% 17.39%
兴业聚盈混合A 002494 混合型-偏债 01-02 -0.66% 0.09% 0.33% 1.89% 3.75% -0.48% 47.80%
兴业120天滚动持有债券C 016817 债券型-中短债 01-02 0.28% 0.72% 1.48% 1.69% 3.74% 0.09% 8.58%
兴业稳健双利一年持有期债券A 009358 债券型-混合二级 01-02 -0.91% 0.71% 2.12% 3.14% 3.67% -0.45% 2.89%
兴业聚乾混合A 012023 混合型-偏债 01-02 -0.67% -0.16% 0.00% 1.63% 3.64% -0.54% 1.76%
兴业中证500ETF发起式联接A 016968 指数型-股票 01-02 -5.22% -6.05% -3.53% 9.97% 3.47% -2.82% -9.85%
兴业兴智一年持有期混合C 011821 混合型-偏股 01-02 -3.92% -2.58% -3.58% 3.06% 3.46% -2.02% -35.04%
兴业聚申一年持有期混合A 010781 混合型-偏债 01-02 -0.70% 0.02% 0.18% 1.80% 3.45% -0.50% 5.15%
兴业聚盈混合C 013748 混合型-偏债 01-02 -0.66% 0.07% 0.25% 1.74% 3.45% -0.48% 1.34%
兴业中证500ETF发起式联接C 016969 指数型-股票 01-02 -5.21% -6.06% -3.57% 9.87% 3.28% -2.81% -10.15%
兴业稳健双利一年持有期债券C 009359 债券型-混合二级 01-02 -0.91% 0.69% 2.03% 2.94% 3.26% -0.44% 1.15%
兴业90天滚动持有中短债A 015081 债券型-中短债 01-02 0.16% 0.44% 1.05% 1.31% 3.17% 0.05% 9.66%
兴业聚乾混合C 012024 混合型-偏债 01-02 -0.69% -0.20% -0.13% 1.36% 3.11% -0.55% 0.02%
兴业60天滚动持有短债债券A 012395 债券型-中短债 01-02 0.16% 0.41% 1.01% 1.25% 3.00% 0.05% 12.21%
兴业90天滚动持有中短债C 015082 债券型-中短债 01-02 0.16% 0.42% 0.99% 1.22% 2.96% 0.05% 9.06%
兴业聚申一年持有期混合C 010782 混合型-偏债 01-02 -0.72% -0.03% 0.03% 1.49% 2.84% -0.50% 2.64%
兴业能源革新股票A 013049 股票型 01-02 -4.82% -9.29% -3.00% 11.43% 2.84% -2.83% -28.32%
兴业30天滚动持有中短债A 015917 债券型-中短债 01-02 0.07% 0.38% 0.90% 1.26% 2.83% 0.03% 7.91%
兴业稳康三年定开债券 004242 债券型-长债 01-02 0.04% 0.39% 0.97% 1.59% 2.82% 0.01% 22.86%
兴业60天滚动持有短债债券C 012396 债券型-中短债 01-02 0.15% 0.39% 0.95% 1.15% 2.80% 0.04% 11.42%
兴业短债债券A 002301 债券型-中短债 01-02 0.16% 0.36% 0.92% 1.21% 2.72% 0.05% 31.11%
兴业30天滚动持有中短债C 015918 债券型-中短债 01-02 0.07% 0.36% 0.84% 1.15% 2.62% 0.02% 7.42%
兴业短债债券C 002769 债券型-中短债 01-02 0.14% 0.34% 0.86% 1.10% 2.51% 0.04% 23.58%
兴业能源革新股票C 013050 股票型 01-02 -4.83% -9.33% -3.13% 11.15% 2.32% -2.84% -29.51%
兴业稳固收益两年理财债券 001369 债券型-长债 01-02 0.04% 0.17% 0.51% 0.98% 2.16% 0.01% 30.52%
兴业稳固收益一年理财债券 001368 债券型-长债 01-02 0.04% 0.23% 0.69% 1.23% 2.02% 0.01% 12.52%
兴业中证同业存单AAA指数7天持有期 017704 指数型-固收 01-02 0.07% 0.37% 0.70% 0.97% 1.85% 0.01% 3.78%
兴业安保优选混合A 006366 混合型-偏股 01-02 -4.82% -6.95% -0.46% 9.47% 0.76% -3.69% 59.56%
兴业安保优选混合C 020107 混合型-偏股 01-02 -4.82% -6.97% -0.52% 9.32% 0.47% -3.70% -0.54%
兴业兴睿两年持有混合A 013910 混合型-偏股 01-02 -5.37% -5.06% -4.45% 3.58% 0.37% -2.55% -23.11%
兴业高端制造混合A 011603 混合型-偏股 01-02 -4.55% -3.11% -1.01% 8.54% 0.12% -2.83% -25.75%
兴业兴睿两年持有混合C 013911 混合型-偏股 01-02 -5.37% -5.11% -4.57% 3.32% -0.15% -2.56% -24.27%
兴业高端制造混合C 011604 混合型-偏股 01-02 -4.56% -3.14% -1.14% 8.26% -0.37% -2.83% -27.14%
兴业医疗保健混合A 011466 混合型-偏股 01-02 -1.88% -7.36% -8.53% 0.50% -15.28% -1.12% -35.78%
兴业医疗保健混合C 011467 混合型-偏股 01-02 -1.88% -7.38% -8.64% 0.25% -15.69% -1.11% -36.99%
兴业恒益6个月持有期债券C 019944 债券型-混合二级 01-02 -0.55% 0.75% 2.12% 4.03% - -0.14% 4.67%
兴业恒益6个月持有期债券A 019943 债券型-混合二级 01-02 -0.55% 0.78% 2.20% 4.19% - -0.14% 4.97%
兴业稳福120天持有期债券A 020387 债券型-长债 01-02 0.24% 0.57% 1.32% 1.94% - 0.08% 4.01%
兴业稳福120天持有期债券C 020388 债券型-长债 01-02 0.24% 0.56% 1.27% 1.84% - 0.09% 3.82%
兴业添盈债券 020552 债券型-长债 01-02 0.32% 1.55% 2.70% 3.50% - 0.16% 3.97%
兴业稳瑞90天持有期债券A 020727 债券型-长债 01-02 0.28% 1.02% 2.17% 2.98% - 0.14% 3.83%
兴业稳瑞90天持有期债券C 020728 债券型-长债 01-02 0.28% 1.01% 2.13% 2.87% - 0.14% 3.68%
兴业聚利灵活配置混合C 021265 混合型-灵活 01-02 -3.36% -1.86% -2.46% 7.53% - -2.23% 7.49%
兴业稳利30天持有期债券A 021350 债券型-长债 01-02 0.21% 0.68% 2.15% 2.83% - 0.07% 3.24%
兴业稳利30天持有期债券C 021351 债券型-长债 01-02 0.21% 0.66% 2.10% 2.73% - 0.07% 3.11%
兴业天融债券C 021408 债券型-长债 01-02 0.29% 1.45% 2.56% 3.29% - 0.14% 3.95%
兴业中证港股通互联网指数发起式A 021377 指数型-股票 01-02 -2.95% -1.54% -4.76% 24.72% - -2.26% 24.52%
兴业中证港股通互联网指数发起式C 021378 指数型-股票 01-02 -2.95% -1.56% -7.15% 21.56% - -2.26% 21.35%
兴业安康稳健养老目标一年持有期混合发起(FOF) 020185 FOF-稳健型 12-27 0.18% 1.55% 1.76% - - - 2.33%
兴业裕恒债券C 021438 债券型-长债 01-02 0.56% 1.48% 2.87% 2.91% - 0.22% 2.87%
兴业福益债券C 021728 债券型-混合一级 01-02 0.21% 1.32% 3.47% 2.65% - -0.01% 3.14%
兴业恒悦180天持有期债券C 021555 债券型-混合二级 01-02 0.47% 1.36% 2.72% - - 0.14% 3.10%
兴业恒悦180天持有期债券A 021554 债券型-混合二级 01-02 0.48% 1.37% 2.80% - - 0.14% 3.22%
兴业品质睿选混合发起式A 016703 混合型-偏股 01-02 -4.28% -2.97% -2.27% - - -1.79% 7.42%
兴业品质睿选混合发起式C 016704 混合型-偏股 01-02 -4.28% -3.00% -2.39% - - -1.80% 7.23%
兴业弘远回报混合发起式A 019587 混合型-偏股 01-02 -5.22% -5.37% -4.60% - - -2.48% -1.86%
兴业弘远回报混合发起式C 019588 混合型-偏股 01-02 -5.22% -5.42% -4.72% - - -2.49% -2.02%
兴业短债债券D 022033 债券型-中短债 01-02 0.16% 0.36% 0.92% - - 0.04% 0.96%
兴业华证沪港深红利100指数A 021931 指数型-股票 01-02 - -0.70% - - - -0.64% -0.70%
兴业华证沪港深红利100指数C 021932 指数型-股票 01-02 - -0.72% - - - -0.64% -0.72%
兴业聚享6个月持有期混合A 021821 混合型-偏债 12-31 - - - - - - 0.24%
兴业聚享6个月持有期混合C 021871 混合型-偏债 12-31 - - - - - - 0.22%

货币/理财型基金

最新更新日期:2025-01-02

基金名称 代码 收益详情 日期

7日年化

14日年化

28日年化

35日年化

近3月

近6月

兴业稳天盈货币A 002912 01-02 2.5430% 2.23% 1.96% 1.91% 0.46% 0.88%
兴业稳天盈货币B 005202 01-02 2.5430% 2.23% 1.96% 1.91% 0.46% 0.88%
兴业安润货币A 004216 01-02 2.3920% 2.18% 1.97% 1.93% 0.47% 0.91%
兴业安润货币B 004217 01-02 2.3910% 2.18% 1.97% 1.93% 0.47% 0.91%
兴业鑫天盈货币B 001926 01-02 1.7070% 1.80% 1.81% 1.79% 0.45% 0.89%
兴业货币B 000722 01-02 1.6530% 1.65% 1.67% 1.64% 0.43% 0.85%
兴业添天盈货币B 001625 01-02 1.5770% 1.61% 1.64% 1.67% 0.43% 0.86%
兴业鑫天盈货币A 001925 01-02 1.5650% 1.66% 1.66% 1.65% 0.42% 0.82%
兴业货币A 000721 01-02 1.4160% 1.41% 1.43% 1.40% 0.36% 0.72%
兴业添天盈货币A 001624 01-02 1.3330% 1.36% 1.40% 1.43% 0.37% 0.73%

场内基金

最新更新日期:2025-01-02

基金名称 代码 收益详情 日期

近1周

近1月

近3月

近6月

近1年

今年来

成立来

兴业沪深300ETF 510370 01-02 -4.16% -3.23% -5.34% 10.17% 13.43% -2.90% -15.81%
兴业中证500ETF 510570 01-02 -5.56% -6.44% -3.55% 11.20% 4.20% -3.01% -13.37%
兴业上证180ETF 530680 12-31 - - - - - - -0.60%