东吴基金管理有限公司

Soochow Asset Management Co., Ltd.

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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:2025-12-24

  • 全部
  • 股票型
  • 混合型
  • 债券型
  • 指数型
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

东吴新经济混合A 580006 混合型-偏股 12-24 2.24% 18.79% 2.86% 99.57% 101.60% 109.55% 111.92%
东吴新经济混合C 012617 混合型-偏股 12-24 2.23% 18.75% 2.75% 99.18% 100.77% 108.75% -7.66%
东吴阿尔法灵活配置混合A 000531 混合型-灵活 12-24 2.27% 18.93% 3.19% 101.83% 97.57% 105.32% 128.23%
东吴阿尔法灵活配置混合C 014581 混合型-灵活 12-24 2.26% 18.89% 3.09% 101.42% 96.78% 104.52% 3.54%
东吴新趋势价值线混合 001322 混合型-灵活 12-24 3.35% 18.63% -0.26% 80.20% 89.08% 93.90% 255.40%
东吴嘉禾优势精选混合A 580001 混合型-灵活 12-24 3.21% 18.26% -1.08% 76.97% 85.45% 90.27% 722.88%
东吴嘉禾优势精选混合C 015152 混合型-灵活 12-24 3.20% 18.21% -1.18% 76.62% 84.73% 89.55% 120.36%
东吴移动互联混合A 001323 混合型-灵活 12-24 3.20% 18.32% -0.64% 79.46% 84.17% 89.02% 504.97%
东吴移动互联混合C 002170 混合型-灵活 12-24 3.19% 18.30% -0.69% 79.28% 83.80% 88.64% 491.86%
东吴配置优化混合A 582003 混合型-灵活 12-24 2.50% 17.08% 6.60% 91.92% 76.44% 81.77% 202.19%
东吴配置优化混合C 011707 混合型-灵活 12-24 2.50% 17.04% 6.49% 91.54% 75.73% 81.06% 40.40%
东吴科技创新混合A 020966 混合型-偏股 12-24 2.84% 13.48% -3.55% 54.15% 60.90% 65.61% 69.09%
东吴科技创新混合C 020967 混合型-偏股 12-24 2.82% 13.44% -3.66% 53.83% 60.26% 64.96% 68.18%
东吴兴弘一年持有混合A 016097 混合型-偏股 12-24 1.98% 8.14% -7.25% 36.47% 51.67% 53.61% 25.96%
东吴新能源汽车股票A 014376 股票型 12-24 3.74% 10.83% -5.25% 41.39% 51.56% 54.24% 85.36%
东吴兴弘一年持有混合C 016098 混合型-偏股 12-24 1.97% 8.10% -7.34% 36.20% 51.06% 53.00% 24.31%
东吴新能源汽车股票C 014377 股票型 12-24 3.74% 10.79% -5.35% 41.09% 50.94% 53.64% 82.46%
东吴双三角股票A 005209 股票型 12-24 8.16% 13.61% -3.12% 48.10% 50.01% 50.27% -31.37%
东吴双三角股票C 005210 股票型 12-24 8.15% 13.54% -3.25% 47.73% 49.27% 49.55% -34.17%
东吴兴享成长混合A 010330 混合型-偏股 12-24 2.16% 9.12% -6.82% 35.16% 47.25% 49.10% 20.83%
东吴兴享成长混合C 011462 混合型-偏股 12-24 2.15% 9.08% -6.92% 34.87% 46.66% 48.51% 13.79%
东吴新产业精选股票A 580008 股票型 12-24 1.95% 8.75% -7.22% 31.19% 44.93% 46.66% 297.01%
东吴新产业精选股票C 011470 股票型 12-24 1.94% 8.71% -7.36% 30.85% 44.24% 45.98% 9.53%
东吴安享量化混合A 580007 混合型-灵活 12-24 4.33% 10.68% 0.56% 50.48% 37.90% 41.72% 16.02%
东吴安享量化混合C 014571 混合型-灵活 12-24 4.34% 10.66% 0.46% 50.17% 37.35% 41.17% -43.33%
东吴医疗服务股票A 013940 股票型 12-24 -0.29% -5.56% -16.20% -5.69% 34.67% 34.65% -33.70%
东吴医疗服务股票C 013941 股票型 12-24 -0.29% -5.57% -16.26% -5.80% 34.39% 34.39% -34.27%
东吴中证新兴指数 585001 指数型-股票 12-24 1.77% 6.96% -1.20% 38.61% 30.73% 32.46% 81.63%
东吴安盈量化混合A 002270 混合型-灵活 12-24 1.65% 4.03% -3.08% 12.75% 18.16% 19.40% 71.03%
东吴安盈量化混合C 015154 混合型-灵活 12-24 1.64% 4.00% -3.17% 9.55% 14.58% 15.79% 10.15%
东吴智慧医疗量化混合A 002919 混合型-灵活 12-24 0.29% -2.35% -15.94% -10.14% 12.96% 13.91% -18.09%
东吴智慧医疗量化混合C 011948 混合型-灵活 12-24 0.29% -2.38% -16.02% -10.31% 12.51% 13.48% -40.95%
东吴国企改革主题灵活配置混合A 002159 混合型-灵活 12-24 0.68% 1.63% 6.92% 8.08% 9.21% 9.33% -10.95%
东吴国企改革主题灵活配置混合C 012615 混合型-灵活 12-24 0.66% 1.59% 6.80% 7.87% 8.76% 8.91% -25.51%
东吴安鑫量化混合A 002561 混合型-灵活 12-24 0.66% 2.36% 5.69% 5.54% 5.57% 6.08% 80.39%
东吴安鑫量化混合C 015153 混合型-灵活 12-24 0.65% 2.32% 5.58% 5.32% 5.14% 5.66% 15.86%
东吴瑞盈63个月定开债 010719 债券型-长债 12-19 0.07% 0.36% 0.94% 1.97% 3.86% 3.66% 19.32%
东吴添瑞三个月定开债券A 018416 债券型-长债 12-19 0.15% 0.08% 0.50% 0.09% 2.82% 1.25% 14.50%
东吴添瑞三个月定开债券C 018417 债券型-长债 12-19 0.15% 0.06% 0.46% -0.01% 2.62% 1.07% 13.96%
东吴添利三个月定开债券A 016759 债券型-长债 12-24 0.07% 0.06% 0.57% 0.44% 2.50% 1.73% 12.87%
东吴鼎泰纯债债券A 006026 债券型-长债 12-24 0.06% 0.02% 0.83% 0.98% 2.33% 2.21% 23.37%
东吴添利三个月定开债券C 016760 债券型-长债 12-24 0.08% 0.06% 0.53% 0.35% 2.30% 1.55% 12.25%
东吴鼎泰纯债债券C 014570 债券型-长债 12-24 0.05% 0.00% 0.76% 0.87% 2.12% 2.00% 10.26%
东吴月月享30天持有短债A 015426 债券型-中短债 12-24 0.04% 0.08% 0.46% 0.83% 2.10% 1.98% 10.27%
东吴月月享30天持有短债C 015427 债券型-中短债 12-24 0.04% 0.06% 0.40% 0.73% 1.90% 1.78% 9.46%
东吴优益债券A 005144 债券型-混合二级 12-24 0.42% 0.72% 1.71% 2.81% 1.82% 1.90% 26.99%
东吴优益债券C 005145 债券型-混合二级 12-24 0.41% 0.58% 1.53% 2.58% 1.50% 1.59% 22.89%
东吴中证同业存单AAA指数7天持有 016758 指数型-固收 12-24 0.02% 0.07% 0.24% 0.47% 1.03% 1.00% 5.08%
东吴多策略混合A 580009 混合型-灵活 12-24 5.82% 10.25% -11.29% 16.73% 0.98% 3.16% 271.14%
东吴恒益纯债债券A 020611 债券型-长债 12-24 0.14% -0.04% 0.77% 0.21% 0.93% 0.86% 2.52%
东吴双动力混合A 580002 混合型-偏股 12-24 5.72% 10.17% -11.10% 16.52% 0.74% 3.10% 90.12%
东吴恒益纯债债券C 020612 债券型-长债 12-24 0.13% -0.07% 0.71% 0.09% 0.70% 0.63% 2.21%
东吴多策略混合C 011949 混合型-灵活 12-24 5.81% 10.21% -11.38% 16.50% 0.58% 2.75% 25.89%
东吴悦秀纯债债券A 005573 债券型-混合一级 12-24 0.09% 0.11% 0.70% 0.15% 0.36% 0.27% 24.95%
东吴双动力混合C 011241 混合型-偏股 12-24 5.71% 10.14% -11.19% 16.28% 0.35% 2.69% -44.62%
东吴悦秀纯债债券C 005574 债券型-混合一级 12-24 0.09% 0.10% 0.68% 0.09% 0.27% 0.17% 24.02%
东吴消费成长混合A 012971 混合型-偏股 12-24 0.07% -2.15% -10.64% -6.49% -5.60% -4.53% -29.37%
东吴消费成长混合C 012972 混合型-偏股 12-24 0.06% -2.18% -10.72% -6.68% -5.99% -4.90% -30.57%
东吴进取策略混合A 580005 混合型-灵活 12-24 -0.17% -2.89% -7.78% -3.19% -12.05% -10.92% 85.40%
东吴进取策略混合C 011242 混合型-灵活 12-24 -0.18% -2.92% -7.87% -3.37% -12.41% -11.27% -40.10%
东吴行业轮动混合A 580003 混合型-偏股 12-24 0.10% -2.82% -9.49% -2.68% -13.68% -12.43% -24.82%
东吴行业轮动混合C 011240 混合型-偏股 12-24 0.10% -2.85% -9.59% -2.89% -14.03% -12.77% -47.00%
东吴苏园产业REIT 508027 Reits 06-07 - - - - - - -
东吴中短债债券发起A 024488 债券型-中短债 12-24 0.08% 0.23% 0.51% 0.84% - - 0.85%
东吴中短债债券发起B 024489 债券型-中短债 12-24 0.09% 0.24% 0.51% 0.82% - - 0.84%
东吴中短债债券发起C 024490 债券型-中短债 12-24 0.08% 0.21% 0.45% 0.71% - - 0.72%
东吴裕盈平衡混合D 024485 混合型-平衡 12-24 0.87% 4.88% 5.47% - - - 5.39%
东吴裕盈平衡混合C 024484 混合型-平衡 12-24 0.86% 4.81% 5.27% - - - 2.84%
东吴裕盈平衡混合A 024483 混合型-平衡 12-24 0.86% 4.84% 5.38% - - - 3.07%
东吴裕盈平衡混合E 024486 混合型-平衡 12-24 0.89% 4.94% 5.64% - - - 5.68%
东吴裕盈平衡混合F 024487 混合型-平衡 12-24 0.86% 4.83% 5.37% - - - 5.20%

货币/理财型基金

最新更新日期:2025-12-24

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

东吴增鑫宝货币B 003589 12-24 1.8000% 1.76% 1.64% 1.57% 0.35% 0.71%
东吴增鑫宝货币C 019771 12-24 1.7990% 1.76% 1.64% 1.57% 0.35% 0.71%
东吴增鑫宝货币A 003588 12-24 1.5650% 1.51% 1.40% 1.33% 0.29% 0.59%
东吴增鑫宝货币D 020240 12-24 1.5560% 1.51% 1.39% 1.33% 0.29% 0.59%
东吴货币B 583101 12-24 1.4200% 1.52% 1.41% 1.38% 0.36% 0.73%
东吴货币C 020039 12-24 1.4190% 1.51% 1.41% 1.38% 0.36% 0.73%
东吴货币E 023993 12-24 1.3280% 1.42% 1.31% 1.29% 0.34% -
东吴货币D 023601 12-24 1.2660% 1.35% 1.24% 1.22% 0.32% 0.65%
东吴货币A 583001 12-24 1.1760% 1.27% 1.16% 1.14% 0.31% 0.63%