东兴基金管理有限公司

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最新普通基金、货币基金、理财基金、封闭式基金、其他基金阶段涨幅一览表。

开放式基金

最新更新日期:2025-11-03

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基金名称 代码 收益详情 基金类型 日期

近1周

近1月

近3月

近6月

近1年

今年来

成立来

东兴未来价值混合A 004695 混合型-灵活 11-03 -1.16% 1.53% 17.19% 36.67% 52.89% 47.61% 61.20%
东兴未来价值混合C 007550 混合型-灵活 11-03 -1.16% 1.52% 17.16% 36.61% 52.73% 47.50% 60.84%
东兴宸泰量化选股混合发起A 021812 混合型-偏股 11-03 -1.12% 1.49% 18.08% 38.66% 51.44% 49.48% 51.53%
东兴宸泰量化选股混合发起C 021813 混合型-偏股 11-03 -1.13% 1.44% 17.90% 38.24% 50.54% 48.73% 50.54%
东兴宸祥量化混合A 013166 混合型-偏股 11-03 -1.29% 1.64% 16.12% 35.52% 47.53% 43.95% 45.58%
东兴宸祥量化混合C 013167 混合型-偏股 11-03 -1.29% 1.63% 16.09% 35.46% 47.38% 43.83% 45.01%
东兴数字经济混合发起A 020440 混合型-偏股 11-03 -6.65% -1.13% 33.55% 75.36% 46.29% 43.53% 53.25%
东兴数字经济混合发起C 020441 混合型-偏股 11-03 -6.65% -1.14% 33.50% 75.26% 46.13% 43.40% 52.97%
东兴兴晟混合A 009327 混合型-偏股 11-03 -1.19% 0.81% 14.57% 29.20% 36.81% 35.83% 48.68%
东兴兴晟混合C 009328 混合型-偏股 11-03 -1.20% 0.76% 14.40% 28.80% 36.00% 35.16% 44.08%
东兴宸瑞量化混合A 012297 混合型-偏股 11-03 -1.61% -0.85% 13.38% 27.58% 29.75% 25.72% 14.48%
东兴宸瑞量化混合C 012298 混合型-偏股 11-03 -1.61% -0.86% 13.35% 27.50% 29.61% 25.62% 13.95%
东兴医药生物量化选股混合A 020830 混合型-偏股 11-03 -0.59% -1.02% 2.89% 31.68% 25.10% 32.91% 25.44%
东兴医药生物量化选股混合C 020831 混合型-偏股 11-03 -0.59% -1.05% 2.79% 31.42% 24.57% 32.46% 24.82%
东兴蓝海财富混合A 002182 混合型-灵活 11-03 -0.12% -4.95% 11.02% 18.17% 15.36% 13.62% -17.40%
东兴蓝海财富混合C 019166 混合型-灵活 11-03 0.00% -4.95% 11.17% 18.17% 15.36% 13.62% 22.37%
东兴连众一年持有期混合A 017507 混合型-偏债 11-03 -0.47% 0.52% 4.54% 9.32% 13.11% 12.03% 13.18%
东兴连众一年持有期混合C 017508 混合型-偏债 11-03 -0.47% 0.48% 4.46% 9.16% 12.77% 11.74% 12.40%
东兴成长优选混合发起A 021390 混合型-偏股 11-03 -5.29% -5.19% 21.71% 23.29% 12.65% 20.14% 39.07%
东兴成长优选混合发起C 021391 混合型-偏股 11-03 -5.29% -5.23% 21.50% 22.95% 12.14% 19.65% 38.01%
东兴改革精选混合A 001708 混合型-灵活 11-03 -1.57% -3.73% 11.29% 13.75% 10.18% 14.34% -12.30%
东兴改革精选混合C 019151 混合型-灵活 11-03 -1.62% -3.74% 11.11% 13.64% 10.10% 14.25% 10.82%
东兴兴福一年定开债券A 007091 债券型-长债 10-31 0.47% 1.16% 0.35% 1.45% 7.15% 3.12% 38.24%
东兴兴福一年定开债券C 015542 债券型-长债 10-31 0.45% 1.15% 0.31% 1.40% 7.03% 3.03% 24.48%
东兴鑫颐3个月滚动持有纯债A 020913 债券型-混合一级 11-03 0.40% 1.05% 0.56% 0.90% 5.99% 2.07% 6.63%
东兴鑫颐3个月滚动持有纯债C 020914 债券型-混合一级 11-03 0.40% 1.02% 0.47% 0.74% 5.67% 1.80% 6.20%
东兴兴盈三个月定开债C 013165 债券型-长债 10-31 0.28% 0.41% -0.08% -0.92% 5.07% -0.20% 15.52%
东兴兴盈三个月定开债A 013164 债券型-长债 10-31 0.27% 0.40% -0.09% -0.93% 5.06% -0.19% 15.56%
东兴连裕6个月滚动持有债A 015243 债券型-混合一级 11-03 0.36% 0.87% -0.49% -0.12% 3.68% 0.93% 12.51%
东兴兴源债券A 014716 债券型-混合二级 11-03 0.15% 0.47% 0.45% 1.22% 3.66% 1.74% 3.56%
东兴兴源债券C 014717 债券型-混合二级 11-03 0.15% 0.46% 0.44% 1.21% 3.64% 1.72% 3.97%
东兴兴瑞一年定开A 007769 债券型-长债 10-31 0.69% 1.29% -0.84% -1.03% 3.59% 0.76% 46.03%
东兴兴利债券A 003545 债券型-混合二级 11-03 0.31% 0.79% 0.13% 0.75% 3.52% 1.70% 32.28%
东兴兴利债券C 009617 债券型-混合二级 11-03 0.31% 0.79% 0.13% 0.75% 3.51% 1.69% 21.10%
东兴中证消费50A 009116 指数型-股票 11-03 -0.14% -0.98% 3.80% 2.58% 3.48% 1.48% 17.87%
东兴兴瑞一年定开C 013333 债券型-长债 10-31 0.69% 1.28% -0.87% -1.09% 3.48% 0.67% 31.72%
东兴鑫享6个月滚动持有债券发起A 013428 债券型-混合一级 11-03 0.32% 0.74% 0.34% 1.09% 3.46% 1.96% 18.35%
东兴中证消费50C 009117 指数型-股票 11-03 -0.14% -0.99% 3.79% 2.54% 3.38% 1.40% 17.22%
东兴连裕6个月滚动持有债C 015244 债券型-混合一级 11-03 0.35% 0.84% -0.57% -0.27% 3.37% 0.68% 11.35%
东兴鑫享6个月滚动持有债券发起C 013429 债券型-混合一级 11-03 0.33% 0.72% 0.28% 0.96% 3.21% 1.75% 17.19%
东兴兴利债券D 011024 债券型-混合二级 11-03 0.30% 0.76% 0.05% 0.60% 3.20% 1.44% 17.15%
东兴鑫远三年定开 008165 债券型-长债 10-31 0.05% 0.23% 0.72% 1.33% 2.88% 2.43% 14.06%
东兴兴财短债债券A 007394 债券型-中短债 11-03 0.21% 0.53% 0.57% 0.71% 2.21% 0.74% 11.69%
东兴兴诚利率债A 020833 债券型-长债 11-03 0.34% 0.54% 0.18% 0.29% 2.03% 0.08% 1.63%
东兴兴诚利率债C 020834 债券型-长债 11-03 0.34% 0.54% 0.17% 0.28% 2.01% 0.07% 1.61%
东兴兴财短债债券C 007395 债券型-中短债 11-03 0.19% 0.49% 0.49% 0.53% 1.88% 0.46% 9.71%
东兴红利优选混合A 022157 混合型-偏股 11-03 0.17% 2.37% 1.81% 6.72% - 4.39% 6.09%
东兴红利优选混合C 022158 混合型-偏股 11-03 0.16% 2.33% 1.71% 6.50% - 4.04% 5.69%
东兴中证A500指数增强C 024275 指数型-股票 11-03 -0.62% -0.49% 13.33% - - - 13.61%
东兴中证A500指数增强A 024274 指数型-股票 11-03 -0.62% -0.46% 13.44% - - - 13.76%
东兴产业升级混合发起C 024397 混合型-偏股 11-03 -1.93% -3.36% - - - - 5.15%
东兴产业升级混合发起A 024396 混合型-偏股 11-03 -1.92% -3.33% - - - - 5.24%

货币/理财型基金

最新更新日期:2025-11-03

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

东兴安盈宝C 024503 11-03 1.4280% 1.36% 1.33% 1.34% 0.35% -
东兴安盈宝B 002760 11-03 1.4270% 1.36% 1.33% 1.34% 0.35% 0.71%
东兴安盈宝A 002759 11-03 1.1840% 1.12% 1.09% 1.10% 0.29% 0.59%