新华基金管理股份有限公司
New China Fund Management Co., Ltd
- 管理规模:
- 基金数量:
- 经理人数:
- 成立日期:
- 公司性质:
旗下基金收入分析详情
其他公司旗下基金收入分析详情查询:
新华基金 2015年4季度 收入分析 基金明细一览 (全部)
截止至:2015-12-31
序号 | 基金代码 | 基金名称 | 相关资讯 | 收入合计 | 股票收入 | 占比 | 债券收入 | 占比 | 股利收入 | 占比 |
---|---|---|---|---|---|---|---|---|---|---|
1 | 000434 | 新华壹诺宝货币A | 详情 | 14,663.02 | - | - | 2,552.59 | 17.41% | - | - |
2 | 000584 | 新华鑫益灵活配置混合 | 详情 | -6,726.44 | -10,784.88 | - | - | - | 96.58 | - |
3 | 000610 | 新华阿里一号保本混合 | 详情 | 16,218.67 | 9,595.91 | 59.17% | 7,461.33 | 46.00% | 267.43 | 1.65% |
4 | 000819 | 新华财富金30天理财债券 | 详情 | 414.92 | - | - | 5.20 | 1.25% | - | - |
5 | 000900 | 新华阿鑫一号保本 | 详情 | 24,449.31 | 15,134.74 | 61.90% | 1,186.62 | 4.85% | 563.26 | 2.30% |
6 | 000903 | 新华活期添利货币A | 详情 | 2,024.03 | - | - | 21.46 | 1.06% | - | - |
7 | 000972 | 新华万银策略灵活配置混合 | 详情 | 1,025.06 | 1,609.18 | 156.98% | - | - | 139.11 | 13.57% |
8 | 000973 | 新华增盈回报债券 | 详情 | 4,942.97 | 192.71 | 3.90% | -0.38 | - | 54.89 | 1.11% |
9 | 001004 | 新华稳健回报混合发起式 | 详情 | -1,665.11 | -3,751.89 | - | - | - | 47.17 | - |
10 | 001040 | 新华策略精选股票 | 详情 | 23,434.79 | 16,306.96 | 69.58% | - | - | 1,511.07 | 6.45% |
11 | 001294 | 新华战略新兴产业灵活配置混合 | 详情 | 7,597.05 | 4,799.01 | 63.17% | - | - | 10.46 | 0.14% |
12 | 001682 | 新华鑫回报混合 | 详情 | 1,595.19 | 696.14 | 43.64% | 10.75 | 0.67% | - | - |
13 | 150161 | 新华惠鑫分级债券B | 详情 | 7,726.86 | - | - | 1,556.97 | 20.15% | - | - |
14 | 150190 | 新华中证环保产业指数分级A | 详情 | 91,049.25 | 90,385.90 | 99.27% | - | - | 1,148.33 | 1.26% |
15 | 150191 | 新华中证环保产业指数分级B | 详情 | 91,049.25 | 90,385.90 | 99.27% | - | - | 1,148.33 | 1.26% |
16 | 164302 | 新华惠鑫债券 | 详情 | 7,726.86 | - | - | 1,556.97 | 20.15% | - | - |
17 | 164303 | 新华惠鑫分级债券A | 详情 | 7,726.86 | - | - | 1,556.97 | 20.15% | - | - |
18 | 164304 | 新华中证环保产业指数分级 | 详情 | 91,049.25 | 90,385.90 | 99.27% | - | - | 1,148.33 | 1.26% |
19 | 519087 | 新华优选分红混合 | 详情 | 101,648.28 | 161,225.80 | 158.61% | 4,378.25 | 4.31% | 3,651.45 | 3.59% |
20 | 519089 | 新华优选成长混合 | 详情 | 37,075.45 | 34,356.65 | 92.67% | - | - | 162.08 | 0.44% |
21 | 519091 | 新华泛资源优势混合 | 详情 | 24,905.65 | 25,659.65 | 103.03% | 24.96 | 0.10% | 136.87 | 0.55% |
22 | 519093 | 新华钻石品质企业混合 | 详情 | 63,184.94 | 96,983.68 | 153.49% | 1,358.50 | 2.15% | 1,677.48 | 2.65% |
23 | 519095 | 新华行业周期轮换混合 | 详情 | -3,615.38 | -3,215.35 | - | - | - | 158.93 | - |
24 | 519097 | 新华中小市值优选混合 | 详情 | 7,594.74 | 7,293.56 | 96.03% | 0.00 | 0.00% | 52.67 | 0.69% |
25 | 519099 | 新华灵活主题混合 | 详情 | -2,139.56 | -2,289.43 | - | - | - | 30.14 | - |
26 | 519150 | 新华优选消费混合 | 详情 | 47,187.59 | 35,252.01 | 74.71% | - | - | 501.99 | 1.06% |
27 | 519152 | 新华纯债添利A | 详情 | 9,400.70 | - | - | 2,541.52 | 27.04% | - | - |
28 | 519153 | 新华纯债添利C | 详情 | 9,400.70 | - | - | 2,541.52 | 27.04% | - | - |
29 | 519156 | 新华行业灵活配置混合A | 详情 | 62,149.78 | 41,467.69 | 66.72% | - | - | 22.34 | 0.04% |
30 | 519157 | 新华行业灵活配置混合C | 详情 | 62,149.78 | 41,467.69 | 66.72% | - | - | 22.34 | 0.04% |
31 | 519158 | 新华趋势领航混合 | 详情 | 45,268.77 | 32,182.60 | 71.09% | - | - | 684.85 | 1.51% |
32 | 519160 | 新华安享惠金定开债券A | 详情 | 6,807.36 | - | - | 1,394.59 | 20.49% | - | - |
33 | 519161 | 新华安享惠金定开债券C | 详情 | 6,807.36 | - | - | 1,394.59 | 20.49% | - | - |
34 | 519162 | 新华信用增益债券A | 详情 | 2,845.25 | 237.78 | 8.36% | 1,063.04 | 37.36% | 17.34 | 0.61% |
35 | 519163 | 新华信用增益债券C | 详情 | 2,845.25 | 237.78 | 8.36% | 1,063.04 | 37.36% | 17.34 | 0.61% |
36 | 519165 | 新华鑫利灵活配置 | 详情 | 9,251.28 | 6,129.25 | 66.25% | - | - | 88.17 | 0.95% |
37 | 519167 | 新华鑫安保本一号混合 | 详情 | 12,387.21 | 3,081.25 | 24.87% | 273.86 | 2.21% | 365.27 | 2.95% |
新华基金 2015年2季度 收入分析 基金明细一览 (全部)
截止至:2015-06-30
序号 | 基金代码 | 基金名称 | 相关资讯 | 收入合计 | 股票收入 | 占比 | 债券收入 | 占比 | 股利收入 | 占比 |
---|---|---|---|---|---|---|---|---|---|---|
1 | 000434 | 新华壹诺宝货币A | 详情 | 3,982.75 | - | - | 820.89 | 20.61% | - | - |
2 | 000584 | 新华鑫益灵活配置混合 | 详情 | -1,893.09 | 8,089.16 | - | - | - | 46.95 | - |
3 | 000610 | 新华阿里一号保本混合 | 详情 | 13,329.41 | 7,238.84 | 54.31% | 5,264.32 | 39.49% | 171.16 | 1.28% |
4 | 000819 | 新华财富金30天理财债券 | 详情 | 267.15 | - | - | 5.20 | 1.95% | - | - |
5 | 000900 | 新华阿鑫一号保本 | 详情 | 16,424.81 | 6,826.64 | 41.56% | 1,132.44 | 6.89% | 310.41 | 1.89% |
6 | 000903 | 新华活期添利货币A | 详情 | 1,733.97 | - | - | 2.12 | 0.12% | - | - |
7 | 000972 | 新华万银策略灵活配置混合 | 详情 | 3,442.72 | 5,784.65 | 168.03% | - | - | 76.38 | 2.22% |
8 | 000973 | 新华增盈回报债券 | 详情 | 1,065.26 | - | - | 6.14 | 0.58% | - | - |
9 | 001040 | 新华策略精选股票 | 详情 | 30,038.53 | 30,523.88 | 101.62% | - | - | 1,150.08 | 3.83% |
10 | 150161 | 新华惠鑫分级债券B | 详情 | 4,280.20 | - | - | 306.68 | 7.17% | - | - |
11 | 150190 | 新华中证环保产业指数分级A | 详情 | 117,130.68 | 99,577.16 | 85.01% | - | - | 968.59 | 0.83% |
12 | 150191 | 新华中证环保产业指数分级B | 详情 | 117,130.68 | 99,577.16 | 85.01% | - | - | 968.59 | 0.83% |
13 | 164302 | 新华惠鑫债券 | 详情 | 4,280.20 | - | - | 306.68 | 7.17% | - | - |
14 | 164303 | 新华惠鑫分级债券A | 详情 | 4,280.20 | - | - | 306.68 | 7.17% | - | - |
15 | 164304 | 新华中证环保产业指数分级 | 详情 | 117,130.68 | 99,577.16 | 85.01% | - | - | 968.59 | 0.83% |
16 | 519087 | 新华优选分红混合 | 详情 | 133,981.74 | 144,257.34 | 107.67% | 4,378.25 | 3.27% | 2,603.30 | 1.94% |
17 | 519089 | 新华优选成长混合 | 详情 | 35,803.14 | 48,756.34 | 136.18% | - | - | 144.88 | 0.40% |
18 | 519091 | 新华泛资源优势混合 | 详情 | 23,048.42 | 16,736.84 | 72.62% | 24.96 | 0.11% | 127.06 | 0.55% |
19 | 519093 | 新华钻石品质企业混合 | 详情 | 67,286.74 | 80,399.10 | 119.49% | 1,358.50 | 2.02% | 1,254.95 | 1.87% |
20 | 519095 | 新华行业周期轮换混合 | 详情 | 16,195.92 | 8,449.28 | 52.17% | - | - | 142.46 | 0.88% |
21 | 519097 | 新华中小市值优选混合 | 详情 | 7,015.66 | 8,054.19 | 114.80% | 0.00 | 0.00% | 40.06 | 0.57% |
22 | 519099 | 新华灵活主题混合 | 详情 | 1,878.70 | 3,173.00 | 168.89% | - | - | 10.38 | 0.55% |
23 | 519150 | 新华优选消费混合 | 详情 | 53,070.77 | 25,027.24 | 47.16% | - | - | 339.95 | 0.64% |
24 | 519152 | 新华纯债添利A | 详情 | 6,534.52 | - | - | 1,635.60 | 25.03% | - | - |
25 | 519153 | 新华纯债添利C | 详情 | 6,534.52 | - | - | 1,635.60 | 25.03% | - | - |
26 | 519156 | 新华行业灵活配置混合A | 详情 | 3,542.64 | 3,866.04 | 109.13% | - | - | 13.54 | 0.38% |
27 | 519158 | 新华趋势领航混合 | 详情 | 44,574.27 | 27,545.30 | 61.80% | - | - | 309.13 | 0.69% |
28 | 519160 | 新华安享惠金定开债券A | 详情 | 3,716.52 | - | - | 18.88 | 0.51% | - | - |
29 | 519161 | 新华安享惠金定开债券C | 详情 | 3,716.52 | - | - | 18.88 | 0.51% | - | - |
30 | 519162 | 新华信用增益债券A | 详情 | 2,312.37 | - | - | 779.85 | 33.72% | - | - |
31 | 519163 | 新华信用增益债券C | 详情 | 2,312.37 | - | - | 779.85 | 33.72% | - | - |
32 | 519165 | 新华鑫利灵活配置 | 详情 | 16,602.98 | 10,798.07 | 65.04% | - | - | 47.55 | 0.29% |
33 | 519167 | 新华鑫安保本一号混合 | 详情 | 6,598.48 | 2,325.72 | 35.25% | 368.26 | 5.58% | 239.96 | 3.64% |