鑫元基金管理有限公司

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最新更新日期:2025-05-16

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基金名称 代码 收益详情 基金类型 日期

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鑫元数字经济混合发起式A 018818 混合型-偏股 05-16 1.16% 7.72% 5.28% 11.81% 42.48% 13.02% 32.36%
鑫元数字经济混合发起式C 018819 混合型-偏股 05-16 1.15% 7.68% 5.18% 11.58% 41.94% 12.85% 31.44%
鑫元价值精选混合A 005493 混合型-灵活 05-16 1.56% 2.70% 1.01% 14.97% 22.40% 8.09% 13.99%
鑫元国证2000指数增强A 018579 指数型-股票 05-16 0.21% 7.14% -0.05% 6.64% 21.96% 8.36% 8.92%
鑫元价值精选混合C 005494 混合型-灵活 05-16 1.56% 2.67% 0.89% 14.70% 21.65% 7.91% 9.64%
鑫元国证2000指数增强C 018580 指数型-股票 05-16 0.20% 7.11% -0.14% 6.43% 21.48% 8.19% 8.15%
鑫元中证1000指数增强发起式A 017190 指数型-股票 05-16 -0.26% 4.42% -1.11% 1.41% 15.27% 2.35% 8.92%
鑫元中证1000指数增强发起式C 017191 指数型-股票 05-16 -0.26% 4.39% -1.21% 1.20% 14.81% 2.20% 7.84%
鑫元专精特新混合A 015071 混合型-偏股 05-16 1.28% 5.81% 4.01% 4.61% 9.02% 7.07% -44.43%
鑫元专精特新混合C 015072 混合型-偏股 05-16 1.27% 5.78% 3.92% 4.41% 8.58% 6.91% -45.08%
鑫元添鑫回报6个月持有期混合A 017619 混合型-偏债 05-16 -0.08% 0.60% 0.55% 2.36% 5.89% 1.30% 6.44%
鑫元鑫动力混合A 012096 混合型-偏股 05-16 -1.31% 2.51% -0.78% 0.76% 5.84% 6.94% -19.41%
鑫元鑫趋势灵活配置混合A 004944 混合型-灵活 05-16 -0.30% 3.13% -3.64% -0.98% 5.76% -0.70% 44.74%
鑫元添鑫回报6个月持有期混合C 017620 混合型-偏债 05-16 -0.09% 0.57% 0.46% 2.16% 5.48% 1.16% 5.52%
鑫元鑫动力混合C 012097 混合型-偏股 05-16 -1.32% 2.47% -0.87% 0.54% 5.41% 6.77% -20.65%
鑫元鑫趋势灵活配置混合C 004948 混合型-灵活 05-16 -0.31% 3.09% -3.73% -1.17% 5.34% -0.85% 39.92%
鑫元晟利一年定开债券发起式 015164 债券型-长债 05-16 -0.31% 0.06% -0.06% 3.11% 5.17% 0.13% 11.39%
鑫元安鑫回报混合A 009395 混合型-偏债 05-16 -0.26% 0.72% -0.21% 0.93% 5.16% 0.45% 16.62%
鑫元安鑫回报混合C 016259 混合型-偏债 05-16 -0.27% 0.69% -0.26% 0.81% 4.93% 0.36% 4.56%
鑫元欣享灵活配置混合A 005262 混合型-灵活 05-16 -0.92% 2.18% -1.76% -1.13% 4.36% 2.30% 50.70%
鑫元金融债3个月定开 013115 债券型-长债 05-16 -0.12% 0.18% 0.08% 2.37% 4.29% 0.10% 13.82%
鑫元淳利定期开放债券 006142 债券型-长债 05-16 -0.15% 0.13% 0.25% 2.13% 4.15% 0.27% 28.12%
鑫元添利三个月定开债 004031 债券型-混合一级 05-16 -0.08% 0.31% 0.29% 2.25% 4.09% 0.52% 25.15%
鑫元惠丰纯债债券A 016438 债券型-长债 05-16 -0.28% -0.08% 0.92% 2.27% 4.07% 0.90% 9.74%
鑫元广利定开债发起式 005446 债券型-长债 05-16 -0.01% 0.21% 0.42% 2.21% 3.96% 0.64% 51.27%
鑫元欣享灵活配置混合C 005263 混合型-灵活 05-16 -0.94% 2.14% -1.86% -1.32% 3.95% 2.15% 46.11%
鑫元惠丰纯债债券C 016439 债券型-长债 05-16 -0.28% -0.08% 0.90% 2.20% 3.92% 0.86% 9.30%
鑫元欣悦混合A 016902 混合型-偏股 05-16 -1.21% 2.56% -1.03% -0.52% 3.89% 6.83% -19.12%
鑫元鑫选稳健养老目标一年持有偏债混合(FOF)A 018688 FOF-稳健型 05-14 0.09% 0.68% 0.52% 2.85% 3.87% 1.43% 4.40%
鑫元欣悦混合C 016903 混合型-偏股 05-16 -1.22% 2.53% -1.12% -0.70% 3.78% 6.69% -19.64%
鑫元中债3-5年国开行债券指数A 007092 指数型-固收 05-16 -0.18% 0.07% 0.08% 1.67% 3.76% -0.16% 21.60%
鑫元全利一年定开债A 006082 债券型-长债 05-16 -0.17% 0.09% 0.14% 2.06% 3.69% 0.19% 23.59%
鑫元慧享纯债3个月定开A 018575 债券型-长债 05-16 0.01% 0.14% 0.26% 2.07% 3.69% 0.49% 7.83%
鑫元中债3-5年国开行债券指数C 007093 指数型-固收 05-16 -0.18% 0.06% 0.06% 1.61% 3.64% -0.18% 20.74%
鑫元裕丰债 015910 债券型-长债 05-16 -0.21% -0.07% 0.00% 1.94% 3.63% -0.09% 11.12%
鑫元荣利三个月定开债 006838 债券型-长债 05-16 -0.21% 0.02% 0.07% 1.88% 3.56% -0.09% 21.14%
鑫元兴利定期开放债 002265 债券型-长债 05-16 -0.11% 0.22% 0.28% 1.93% 3.55% 0.42% 37.93%
鑫元瑞利定期开放债券 004459 债券型-长债 05-16 0.05% 0.32% 0.62% 1.78% 3.54% 0.68% 46.07%
鑫元慧享纯债3个月定开C 018576 债券型-长债 05-16 0.01% 0.13% 0.21% 1.98% 3.47% 0.42% 7.41%
鑫元富利三个月定期开放债 007559 债券型-长债 05-16 -0.18% 0.13% 0.26% 1.78% 3.42% 0.33% 23.45%
鑫元泽利A 007551 债券型-混合一级 05-16 -0.08% 0.32% 0.43% 2.69% 3.40% 0.99% 32.98%
鑫元增利定开债发起式 005780 债券型-长债 05-16 -0.03% 0.08% 0.46% 1.58% 3.29% 0.51% 34.21%
鑫元合丰纯债A 000911 债券型-长债 05-16 -0.17% 0.09% 0.33% 1.38% 3.26% 0.12% 58.72%
鑫元乾利债券 010459 债券型-长债 05-16 -0.24% -0.06% 0.11% 1.84% 3.18% -0.03% 12.97%
鑫元合丰纯债C 000910 债券型-长债 05-16 -0.17% 0.08% 0.30% 1.33% 3.15% 0.09% 45.82%
鑫元泽利C 019533 债券型-混合一级 05-16 -0.08% 0.30% 0.37% 2.57% 3.15% 0.89% 3.15%
鑫元一年中高等级债 008139 债券型-混合一级 05-16 -0.06% 0.16% 0.27% 1.91% 3.12% 0.42% 17.07%
鑫元乐享90天持有债券A 018761 债券型-长债 05-16 0.07% 0.19% 0.81% 1.85% 3.02% 0.95% 5.24%
鑫元中债1-3年国开行债券指数A 007324 指数型-固收 05-16 -0.09% 0.12% 0.12% 1.34% 2.95% 0.00% 18.04%
鑫元悦享60天滚动持有中短债A 014882 债券型-中短债 05-16 0.07% 0.24% 0.62% 1.60% 2.95% 0.76% 10.60%
鑫元双债增强债券A 002632 债券型-混合二级 05-16 0.00% 0.27% 0.32% 1.54% 2.92% 0.41% 27.60%
鑫元皓利一年定期开放债券 014284 债券型-长债 05-16 -0.09% 0.23% 0.49% 1.47% 2.92% 0.50% 10.15%
鑫元招利A 004059 债券型-长债 05-16 -0.05% 0.17% 0.27% 1.36% 2.90% 0.17% 33.48%
鑫元鸿利A 000694 债券型-中短债 05-16 -0.01% 0.12% 0.35% 1.73% 2.89% 0.52% 57.72%
鑫元稳利债券 000655 债券型-长债 05-16 -0.07% 0.17% 0.34% 1.59% 2.87% 0.38% 55.43%
鑫元中债1-3年国开行债券指数C 007325 指数型-固收 05-16 -0.09% 0.12% 0.10% 1.29% 2.85% -0.03% 17.32%
鑫元鸿利C 020974 债券型-中短债 05-16 -0.01% 0.12% 0.34% 1.73% 2.84% 0.52% 4.04%
鑫元承利三个月定开债 006993 债券型-长债 05-16 -0.06% 0.16% 0.33% 1.30% 2.83% 0.31% 21.79%
鑫元鸿利D 014005 债券型-中短债 05-16 0.00% 0.12% 0.35% 1.74% 2.82% 0.53% 12.51%
鑫元乐享90天持有债券C 018762 债券型-长债 05-16 0.06% 0.17% 0.76% 1.75% 2.82% 0.87% 4.94%
鑫元聚利债券 003500 债券型-长债 05-16 -0.14% 0.09% 0.15% 1.15% 2.80% -0.06% 33.18%
鑫元鑫选安悦3个月持有期债券(FOF)A 019725 FOF-稳健型 05-14 -0.07% 0.27% 0.36% 2.20% 2.78% 0.95% 2.85%
鑫元合利定开债发起式 005849 债券型-长债 05-16 0.03% 0.21% 0.44% 1.58% 2.75% 0.46% 30.19%
鑫元悦享60天滚动持有中短债C 014883 债券型-中短债 05-16 0.06% 0.23% 0.57% 1.50% 2.75% 0.69% 9.93%
鑫元恒利三个月定开债 007050 债券型-长债 05-16 -0.06% 0.22% 0.39% 1.19% 2.71% 0.22% 22.79%
鑫元安睿三年定开债 007761 债券型-长债 05-16 0.07% 0.26% 0.62% 1.17% 2.60% 0.87% 16.78%
鑫元汇利债券 002442 债券型-长债 05-16 0.03% 0.22% 0.44% 1.21% 2.56% 0.37% 37.04%
鑫元得利债券 003041 债券型-长债 05-16 0.06% 0.23% 0.53% 1.44% 2.53% 0.59% 34.26%
鑫元裕利债券 002915 债券型-长债 05-16 -0.12% 0.09% 0.12% 1.01% 2.51% 0.03% 35.26%
鑫元永利债券 005497 债券型-长债 05-16 0.00% 0.11% 0.47% 1.55% 2.51% 0.59% 17.26%
鑫元臻利A 006631 债券型-长债 05-16 -0.13% 0.11% 0.42% 1.78% 2.49% 0.03% 22.81%
鑫元璟丰债券 017180 债券型-长债 05-16 0.08% 0.19% 0.31% 0.88% 2.49% 0.46% 7.07%
鑫元鑫选安悦3个月持有期债券(FOF)C 019726 FOF-稳健型 05-14 -0.07% 0.25% 0.29% 2.07% 2.49% 0.86% 2.55%
鑫元双债增强债券C 002633 债券型-混合二级 05-16 -0.01% 0.22% 0.22% 1.32% 2.48% 0.25% 23.40%
鑫元悦利定开债发起式 006754 债券型-长债 05-16 0.03% 0.14% 0.29% 0.96% 2.36% 0.46% 26.56%
鑫元常利定开债 005779 债券型-长债 05-16 -0.07% 0.13% 0.20% 0.53% 2.32% 0.02% 36.81%
鑫元恒鑫收益增强债券型发起式E 018849 债券型-混合二级 05-16 -0.10% 1.15% -0.58% 1.94% 2.32% 0.24% 4.74%
鑫元恒鑫收益增强债券型发起式A 000578 债券型-混合二级 05-16 -0.06% 1.20% -0.57% 2.09% 2.30% 0.35% 13.37%
鑫元恒鑫收益增强债券型发起式D 017583 债券型-混合二级 05-16 -0.06% 1.21% -0.57% 2.09% 2.30% 0.35% 5.38%
鑫元合享纯债A 000815 债券型-长债 05-16 -0.06% 0.14% 0.42% 1.07% 2.23% 0.31% 37.01%
鑫元嘉利一年定开债发起式 016727 债券型-长债 05-16 -0.08% 0.05% 0.20% 0.79% 2.22% 0.30% 8.49%
鑫元合享纯债C 000814 债券型-长债 05-16 -0.07% 0.14% 0.39% 1.01% 2.13% 0.26% 43.24%
鑫元中短债A 008864 债券型-中短债 05-16 0.04% 0.22% 0.53% 1.15% 2.11% 0.64% 17.94%
鑫元臻利C 006632 债券型-长债 05-16 -0.14% 0.07% 0.31% 1.54% 2.04% -0.13% 19.69%
鑫元浩鑫增强债券A 018682 债券型-混合二级 05-16 0.06% 0.28% 0.51% 1.17% 2.02% 0.07% 3.20%
鑫元稳丰利率债 019724 债券型-长债 05-16 -0.07% 0.11% 0.59% 1.10% 2.02% 0.53% 3.34%
鑫元恒鑫收益增强债券型发起式C 000579 债券型-混合二级 05-16 -0.07% 1.18% -0.66% 1.89% 1.89% 0.21% 8.58%
鑫元中短债C 008865 债券型-中短债 05-16 0.04% 0.21% 0.48% 1.03% 1.87% 0.55% 16.46%
鑫元安硕两年定开债 008229 债券型-长债 05-16 0.02% 0.13% 0.34% 0.67% 1.72% 0.50% 11.58%
鑫元浩鑫增强债券C 018683 债券型-混合二级 05-16 0.05% 0.24% 0.40% 0.96% 1.63% -0.09% 2.59%
鑫元锦利一年定开债 008806 债券型-长债 05-16 -0.18% -0.28% -0.35% 0.39% 1.59% -0.38% 17.93%
鑫元清洁能源混合发起式A 014574 混合型-偏股 05-16 2.88% 8.60% -3.99% 4.10% 0.52% 2.55% -55.30%
鑫元清洁能源混合发起式C 014575 混合型-偏股 05-16 2.84% 8.56% -4.09% 3.89% 0.11% 2.37% -55.88%
鑫元科技创新混合A 018827 混合型-偏股 05-16 -0.21% 0.38% -7.11% -6.31% 0.06% -1.52% -14.72%
鑫元长三角混合A 014263 混合型-偏股 05-16 -1.62% 0.74% 0.87% -0.52% -0.07% 5.93% -4.10%
鑫元科技创新混合C 018828 混合型-偏股 05-16 -0.22% 0.33% -7.22% -6.50% -0.34% -1.68% -15.31%
鑫元聚鑫收益增强A 000896 债券型-混合二级 05-16 0.45% 0.21% -1.49% -1.16% -0.43% -1.31% 17.64%
鑫元长三角混合C 014264 混合型-偏股 05-16 -1.63% 0.70% 0.77% -0.72% -0.45% 5.77% -5.27%
鑫元聚鑫收益增强D 017584 债券型-混合二级 05-16 0.46% 0.21% -1.49% -1.16% -0.46% -1.31% 8.26%
鑫元聚鑫收益增强C 000897 债券型-混合二级 05-16 0.45% 0.18% -1.58% -1.35% -0.84% -1.45% 12.80%
鑫元成长驱动股票发起式A 017726 股票型 05-16 0.55% 6.83% -7.83% -5.14% -3.48% -1.02% -21.22%
鑫元成长驱动股票发起式C 017727 股票型 05-16 0.54% 6.79% -7.92% -5.33% -3.86% -1.16% -21.88%
鑫元鑫新收益灵活配置混合A 001601 混合型-灵活 05-16 -0.03% -0.83% -11.70% -9.75% -4.81% -4.37% -23.83%
鑫元鑫新收益灵活配置混合C 001602 混合型-灵活 05-16 -0.11% -0.96% -11.93% -10.16% -5.63% -4.70% -29.13%
鑫元行业轮动混合A 005949 混合型-灵活 05-16 0.73% 2.67% -5.07% -5.28% -7.96% -4.24% -40.78%
鑫元行业轮动混合C 005950 混合型-灵活 05-16 0.73% 2.64% -5.14% -5.45% -8.31% -4.36% -41.72%
鑫元消费甄选混合发起A 017467 混合型-偏股 05-16 -2.77% 4.67% -15.00% -13.81% -26.04% -9.70% -43.10%
鑫元消费甄选混合发起C 017468 混合型-偏股 05-16 -2.78% 4.60% -15.11% -14.03% -26.41% -9.87% -43.64%
鑫元全利一年定开债C 006083 债券型-长债 10-25 - - - - - - 0.00%
鑫元合享纯债D 013875 债券型-长债 10-15 - - - - - - 0.00%
鑫元臻利D 020123 债券型-长债 05-16 -0.13% 0.10% 0.42% 1.74% - 0.02% 2.04%
鑫元中短债D 021163 债券型-中短债 05-16 0.04% 0.22% 0.53% 1.14% - 0.64% 1.59%
鑫元启丰债券 021449 债券型-长债 05-16 -0.20% 0.03% -0.18% 2.61% - 0.04% 4.05%
鑫元招利D 021713 债券型-长债 05-16 -0.06% 0.17% 0.26% 1.37% - 0.19% 2.51%
鑫元佳享120天持有债券C 020814 债券型-混合一级 05-16 0.05% 0.27% 1.09% 2.01% - 1.26% 2.34%
鑫元佳享120天持有债券A 020813 债券型-混合一级 05-16 0.05% 0.29% 1.13% 2.13% - 1.33% 2.52%
鑫元鑫选稳健养老目标一年持有偏债混合(FOF)Y 021437 FOF-稳健型 05-14 0.09% 0.69% 0.58% - - 1.53% 1.62%
鑫元中证同业存单AAA指数7天持有期 021527 指数型-固收 05-16 0.01% 0.11% 0.36% 0.59% - 0.38% 0.95%
鑫元华证沪深港红利50指数A 021881 指数型-股票 05-16 1.39% 2.70% 3.73% 5.37% - 1.38% 3.64%
鑫元华证沪深港红利50指数C 021882 指数型-股票 05-16 1.38% 2.66% 3.65% 5.20% - 1.25% 3.42%
鑫元中债1-3年国开行债券指数D 022255 指数型-固收 05-16 -0.08% 0.12% 0.13% 1.37% - 0.03% 1.71%
鑫元睿鑫添益债券C 022409 债券型-混合二级 05-16 -0.47% 0.38% -0.52% - - -0.13% 0.18%
鑫元睿鑫添益债券A 022408 债券型-混合二级 05-16 -0.46% 0.43% -0.41% - - 0.06% 0.41%
鑫元中证800红利低波动指数A 022330 指数型-股票 05-16 0.55% 1.88% 0.89% - - 1.33% 1.38%
鑫元中证800红利低波动指数C 022331 指数型-股票 05-16 0.54% 1.84% 0.78% - - 1.16% 1.20%
鑫元致远量化选股混合A 022115 混合型-偏股 05-16 0.53% 1.21% 1.45% - - - 1.55%
鑫元致远量化选股混合C 022116 混合型-偏股 05-16 0.54% 1.18% 1.36% - - - 1.42%
鑫元合丰纯债D 023091 债券型-长债 05-16 -0.17% 0.08% 0.33% - - 0.14% 0.20%
鑫元中债3-5年国开行债券指数D 023533 指数型-固收 - - - - - - - -
鑫元鑫领航混合A 017026 混合型-偏股 05-16 -0.06% - - - - - -0.22%
鑫元鑫领航混合C 017027 混合型-偏股 05-16 -0.07% - - - - - -0.25%
鑫元中证800红利低波动指数I 024258 指数型-股票 05-16 - - - - - - -0.93%

货币/理财型基金

最新更新日期:2025-05-16

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

鑫元安鑫宝货币A 001526 05-16 1.6430% 1.66% 1.67% 1.68% 0.42% 0.87%
鑫元货币B 000484 05-16 1.4950% 1.49% 1.50% 1.51% 0.36% 0.79%
鑫元货币D 023627 05-16 1.4690% - - - - -
鑫元安鑫宝货币B 001527 05-16 1.3940% 1.41% 1.42% 1.43% 0.36% 0.75%
鑫元货币A 000483 05-16 1.2520% 1.25% 1.26% 1.26% 0.31% 0.67%
鑫元货币E 019050 05-16 1.2520% 1.25% 1.26% 1.26% 0.31% 0.67%