上海东方证券资产管...

电脑版
提示:原网页已由神马搜索转码, 内容由www.dfham.com提供.

  • 手机客户端下载
  • 微信服务号 扫一扫
    • 定投专区|定现在,投未来
      坚持定投 与时间为友
    • 指数专区|小指数,大能量
      为您“指”明投资的方向
    • 养老专区|智养老,享生活
      送给自己未来的礼物
    • 投资之道|东方红的价值投资逐梦路
      东方红的价值投资逐梦路
    • 面对面|理解价值、敬畏市场
      东方红资产管理周云:理解价值、敬畏市场
    • 面对面|拥抱多资产机遇 适当增加转债配置
      东方红资产管理纪文静:拥抱多资产机遇 适当增加转债配置

    东方红启东三年持有混合 008985

    成立以来收益率
    截至2024.07.12 25.41%
    推荐理由
    (偏股混合)长线布局 精选标的 立即购买查看详情

    东方红战略精选A 003044

    成立以来收益率
    截至2024.07.12 37.00%
    推荐理由
    (偏债混合)稳字当先 严控回撤 立即购买查看详情

    东方红智富宝(货币D) 007865

    成立以来收益率
    截至2024.07.14 --
    推荐理由
    现金管理更方便,零钱“小金库”,乐享灵活配置 立即购买查看详情

    旗下产品
    • 基金
    • 小集合

    • 指数型
    • 股票型
    • 混合型
    • FOF型
    • 债券型
    • 货币型
    基金名称
    基金代码
    净值日期
    单位净值
    累计净值
    日涨幅
    近一年收益率
    成立以来收益率
    操作
    007657
    2024-07-12
    1.0318
    1.0318
    0.24%
    -9.78%
    3.18%
    007658
    2024-07-12
    1.0112
    1.0112
    0.23%
    -10.13%
    1.12%
    012708
    2024-07-12
    1.1842
    1.2622
    0.53%
    13.58%
    27.55%
    012709
    2024-07-12
    1.1821
    1.2511
    0.52%
    13.13%
    26.27%
    018920
    2024-07-12
    1.0850
    1.0850
    -0.28%
    --
    8.50%
    018921
    2024-07-12
    1.0816
    1.0816
    -0.28%
    --
    8.16%
    021175
    2024-07-12
    1.0000
    1.0000
    0.00%
    --
    0.00%
    申购定投
    021176
    2024-07-12
    0.9999
    0.9999
    -0.01%
    --
    -0.01%
    申购定投
    基金名称
    基金代码
    净值日期
    单位净值
    累计净值
    日涨幅
    近一年收益率
    成立以来收益率
    操作
    015052
    2024-07-12
    0.9119
    0.9119
    1.96%
    -9.38%
    -8.81%
    015053
    2024-07-12
    0.9014
    0.9014
    1.97%
    -9.86%
    -9.86%
    基金名称
    基金代码
    净值日期
    单位净值
    累计净值
    日涨幅
    近一年收益率
    成立以来收益率
    操作
    000480
    2024-07-12
    3.888
    3.976
    0.10%
    -5.79%
    313.58%
    017493
    2024-07-12
    3.856
    3.856
    0.10%
    -6.27%
    0.47%
    000619
    2024-07-12
    3.584
    3.584
    -0.28%
    -17.02%
    258.40%
    169101
    2024-07-12
    1.222
    2.124
    -0.81%
    -15.37%
    142.55%
    169102
    2024-07-12
    1.2445
    2.1405
    -0.11%
    -15.95%
    131.37%
    申购定投
    000970
    2024-07-12
    2.258
    2.258
    3.15%
    -13.29%
    125.80%
    申购定投
    001112
    2024-07-12
    1.475
    1.475
    -0.27%
    -11.09%
    47.50%
    001564
    2024-07-12
    2.441
    2.441
    0.08%
    -5.93%
    144.10%
    017535
    2024-07-12
    2.421
    2.421
    0.08%
    -6.42%
    -0.37%
    169103
    2024-07-12
    1.5895
    1.9275
    0.21%
    -4.34%
    104.48%
    申购定投
    点击查看更多
    001712
    2024-07-12
    1.185
    1.185
    -0.84%
    -14.01%
    18.50%
    002803
    2024-07-12
    1.583
    1.583
    -0.13%
    -17.16%
    58.30%
    169104
    2024-07-12
    1.510
    1.861
    0.07%
    -15.22%
    95.76%
    018948
    2024-07-12
    1.503
    1.503
    0.07%
    -18.58%
    -18.58%
    169105
    2024-07-12
    1.1131
    1.4741
    -0.04%
    -16.72%
    44.88%
    018949
    2024-07-12
    1.1076
    1.1076
    -0.05%
    -18.19%
    -18.19%
    003396
    2024-07-12
    1.8930
    1.8930
    -0.07%
    -4.76%
    89.30%
    017536
    2024-07-12
    1.8773
    1.8773
    -0.07%
    -5.24%
    -2.27%
    501049
    2024-07-12
    0.7954
    1.2954
    -0.24%
    -14.35%
    12.02%
    申购定投
    010506
    2024-07-12
    0.7810
    0.7810
    -0.23%
    -14.78%
    -37.26%
    申购定投
    501054
    2024-07-12
    0.8628
    1.1628
    0.09%
    -17.29%
    3.02%
    申购定投
    011032
    2024-07-12
    0.8510
    0.8510
    0.08%
    -17.62%
    -50.72%
    申购定投
    501066
    2024-07-12
    1.3533
    1.3533
    0.56%
    -16.42%
    35.33%
    申购定投
    910007
    2024-07-12
    2.8577
    3.3697
    -0.82%
    -15.52%
    -11.56%
    申购定投
    007887
    2024-07-12
    2.8976
    2.8976
    -0.82%
    -15.27%
    -16.29%
    申购定投
    169107
    2024-07-12
    0.8093
    0.8093
    -0.92%
    -16.66%
    -19.07%
    申购定投
    008985
    2024-07-12
    1.2542
    1.2542
    -1.02%
    -10.53%
    25.41%
    009576
    2024-07-12
    0.9021
    0.9021
    -0.11%
    -8.39%
    -9.79%
    010059
    2024-07-12
    0.8089
    0.8089
    0.66%
    -10.34%
    -19.11%
    申购定投
    910022
    2024-07-12
    3.3495
    3.7405
    -0.84%
    -16.53%
    -28.01%
    申购定投
    010225
    2024-07-12
    3.3496
    3.3496
    -0.84%
    -16.53%
    -28.01%
    910017
    2024-07-12
    1.7972
    1.9112
    1.46%
    -16.05%
    -39.49%
    申购定投
    010821
    2024-07-12
    1.7595
    1.7595
    1.46%
    -16.39%
    -43.02%
    017494
    2024-07-12
    1.7460
    1.7460
    1.45%
    -16.82%
    -15.28%
    010699
    2024-07-12
    0.6720
    0.6720
    -0.65%
    4.19%
    -32.80%
    010714
    2024-07-12
    0.8174
    0.8174
    -0.69%
    -15.95%
    -18.26%
    017537
    2024-07-12
    0.8110
    0.8110
    -0.70%
    -16.37%
    -9.69%
    910024
    2024-07-12
    3.6023
    4.1983
    -0.18%
    -9.44%
    -14.37%
    申购定投
    910011
    2024-07-12
    1.7178
    2.0328
    -0.71%
    -17.95%
    -45.55%
    申购定投
    011312
    2024-07-12
    1.6841
    1.6841
    -0.71%
    -18.27%
    -46.62%
    910009
    2024-07-12
    3.4988
    4.0528
    -0.83%
    -15.51%
    -39.41%
    申购定投
    910006
    2024-07-12
    3.3023
    3.8653
    -0.19%
    -10.05%
    -19.43%
    申购定投
    010442
    2024-07-12
    3.2438
    3.2438
    -0.20%
    -10.41%
    -30.66%
    910004
    2024-07-12
    9.4568
    10.0098
    -0.26%
    6.95%
    -19.24%
    申购定投
    011724
    2024-07-12
    9.0511
    9.0511
    -0.26%
    5.67%
    -29.10%
    申购定投
    910021
    2024-07-12
    3.3594
    4.0564
    -0.70%
    1.74%
    -19.45%
    申购定投
    011313
    2024-07-12
    3.3009
    3.3009
    -0.70%
    1.34%
    -27.25%
    910028
    2024-07-12
    2.4725
    2.9195
    -0.84%
    -16.56%
    -40.42%
    申购定投
    012243
    2024-07-12
    2.4270
    2.4270
    -0.84%
    -16.89%
    -41.52%
    910026
    2024-07-12
    1.7730
    1.8880
    0.54%
    -10.90%
    -38.85%
    申购定投
    910010
    2024-07-12
    1.3662
    2.1242
    0.53%
    -11.03%
    -38.49%
    申购定投
    012839
    2024-07-12
    0.6620
    0.6620
    0.38%
    -8.46%
    -33.80%
    012840
    2024-07-12
    0.6554
    0.6554
    0.38%
    -8.77%
    -34.46%
    013294
    2024-07-12
    0.6216
    0.6216
    -0.06%
    -15.80%
    -37.84%
    013295
    2024-07-12
    0.6158
    0.6158
    -0.06%
    -16.08%
    -38.42%
    169109
    2024-07-12
    0.5825
    0.5825
    -0.77%
    -17.63%
    -41.75%
    申购定投
    012439
    2024-07-12
    0.5764
    0.5764
    -0.79%
    -17.97%
    -42.36%
    申购定投
    910005
    2024-07-12
    3.4568
    4.4488
    0.47%
    -16.91%
    -47.53%
    申购定投
    010441
    2024-07-12
    3.4506
    3.4506
    0.46%
    4.97%
    4.97%
    015102
    2024-07-12
    0.6893
    0.6893
    -0.83%
    -17.38%
    -31.07%
    015103
    2024-07-12
    0.6812
    0.6812
    -0.84%
    -17.79%
    -31.88%
    017848
    2024-07-12
    1.0087
    1.0087
    -0.38%
    -0.02%
    0.87%
    017849
    2024-07-12
    1.0026
    1.0026
    -0.38%
    -0.53%
    0.26%
    019008
    2024-07-12
    0.8632
    0.8632
    -0.74%
    --
    -13.68%
    019009
    2024-07-12
    0.8604
    0.8604
    -0.74%
    --
    -13.96%
    019773
    2024-07-12
    1.0001
    1.0001
    0.42%
    --
    0.01%
    申购定投
    019774
    2024-07-12
    0.9986
    0.9986
    0.41%
    --
    -0.14%
    申购定投
    020803
    2024-07-12
    0.9900
    0.9900
    0.38%
    --
    -1.00%
    申购定投
    020804
    2024-07-12
    0.9893
    0.9893
    0.37%
    --
    -1.07%
    申购定投
    001309
    2024-07-12
    1.914
    1.914
    0.10%
    -1.54%
    91.40%
    申购定投
    004278
    2024-07-12
    1.2832
    1.2832
    0.72%
    -3.60%
    28.32%
    申购定投
    001202
    2024-07-12
    1.413
    1.603
    0.00%
    -1.90%
    65.24%
    020562
    2024-07-12
    1.413
    1.413
    0.00%
    2.84%
    2.84%
    001203
    2024-07-12
    1.6127
    1.7947
    0.07%
    0.07%
    81.42%
    001204
    2024-07-12
    1.5912
    1.7742
    0.07%
    -0.43%
    79.07%
    001405
    2024-07-12
    1.4116
    1.6016
    0.06%
    0.11%
    65.75%
    001406
    2024-07-12
    1.3072
    1.4772
    0.06%
    -0.39%
    51.94%
    003044
    2024-07-12
    1.3068
    1.3568
    0.15%
    0.01%
    37.00%
    003045
    2024-07-12
    1.2656
    1.3156
    0.15%
    -0.39%
    32.71%
    002783
    2024-07-12
    1.1958
    1.4848
    0.02%
    -1.83%
    48.94%
    002784
    2024-07-12
    1.1528
    1.4408
    0.02%
    -2.22%
    44.29%
    501053
    2024-07-12
    1.0138
    1.3818
    0.15%
    0.03%
    44.01%
    申购定投
    169106
    2024-07-12
    1.0241
    1.3441
    0.19%
    -0.78%
    38.64%
    申购定投
    005974
    2024-07-12
    1.4566
    1.4566
    0.33%
    1.71%
    45.66%
    005975
    2024-07-12
    1.4123
    1.4123
    0.33%
    1.20%
    41.23%
    006353
    2024-07-12
    1.2896
    1.2896
    0.25%
    1.53%
    28.96%
    申购定投
    010292
    2024-07-12
    1.2752
    1.2752
    0.25%
    1.22%
    9.91%
    申购定投
    008263
    2024-07-12
    1.0041
    1.0691
    0.66%
    -3.00%
    6.65%
    申购定投
    008770
    2024-07-12
    1.0043
    1.1459
    0.09%
    1.47%
    15.38%
    008990
    2024-07-12
    1.0051
    1.1377
    0.09%
    1.56%
    14.47%
    169108
    2024-07-12
    1.0407
    1.2007
    0.53%
    1.30%
    20.55%
    申购定投
    009725
    2024-07-12
    1.0139
    1.1388
    0.07%
    1.98%
    14.49%
    013785
    2024-07-12
    1.0131
    1.0516
    0.07%
    1.68%
    2.79%
    009806
    2024-07-12
    1.0205
    1.0997
    0.10%
    0.78%
    10.01%
    009807
    2024-07-12
    1.0117
    1.0837
    0.09%
    0.38%
    8.32%
    009842
    2024-07-12
    1.0606
    1.0606
    0.45%
    0.40%
    6.06%
    申购定投
    010700
    2024-07-12
    0.9521
    0.9521
    0.75%
    -3.12%
    -4.79%
    申购定投
    012088
    2024-07-12
    1.0014
    1.0014
    0.13%
    0.93%
    0.14%
    012089
    2024-07-12
    0.9888
    0.9888
    0.12%
    0.52%
    -1.12%
    012683
    2024-07-12
    1.0328
    1.0328
    0.01%
    3.52%
    3.28%
    012684
    2024-07-12
    1.0235
    1.0235
    0.02%
    3.21%
    2.35%
    012949
    2024-07-12
    0.9794
    0.9794
    0.13%
    -0.53%
    -2.06%
    012950
    2024-07-12
    0.9699
    0.9699
    0.13%
    -0.93%
    -3.01%
    014573
    2024-07-12
    0.9007
    0.9007
    0.18%
    -3.66%
    -9.93%
    014888
    2024-07-12
    1.0411
    1.0411
    0.19%
    1.58%
    4.11%
    014889
    2024-07-12
    1.0314
    1.0314
    0.19%
    1.19%
    3.14%
    014291
    2024-07-12
    0.9937
    0.9937
    0.10%
    -1.79%
    -0.63%
    016832
    2024-07-12
    0.9951
    0.9951
    0.42%
    0.02%
    -0.49%
    申购定投
    016833
    2024-07-12
    0.9908
    0.9908
    0.42%
    -0.28%
    -0.92%
    申购定投
    016834
    2024-07-12
    0.9890
    0.9890
    0.11%
    -0.70%
    -1.10%
    016835
    2024-07-12
    0.9850
    0.9850
    0.11%
    -1.01%
    -1.50%
    020358
    2024-07-12
    1.0010
    1.0010
    0.09%
    --
    0.10%
    申购定投
    020359
    2024-07-12
    1.0004
    1.0004
    0.09%
    --
    0.04%
    申购定投
    016366
    2024-07-12
    1.0367
    1.0367
    0.00%
    2.10%
    3.67%
    基金名称
    基金代码
    净值日期
    单位净值
    累计净值
    日涨幅
    近一年收益率
    成立以来收益率
    操作
    009184
    2024-07-10
    0.9494
    0.9494
    -0.29%
    -7.95%
    -5.06%
    017675
    2024-07-10
    0.9561
    0.9561
    -0.29%
    -7.52%
    -11.62%
    009183
    2024-07-10
    0.9992
    0.9992
    -0.19%
    -4.67%
    -0.08%
    017674
    2024-07-10
    1.0050
    1.0050
    -0.19%
    -4.30%
    -7.37%
    009174
    2024-07-10
    1.0961
    1.0961
    -0.07%
    2.31%
    9.61%
    017673
    2024-07-10
    1.1013
    1.1013
    -0.06%
    2.63%
    1.93%
    011587
    2024-07-10
    0.8761
    0.8761
    -0.23%
    -6.85%
    -12.39%
    016242
    2024-07-10
    0.8622
    0.8622
    -0.32%
    -8.17%
    -13.78%
    019823
    2024-07-10
    0.8649
    0.8649
    -0.32%
    -1.44%
    -1.44%
    017775
    2024-07-10
    1.0301
    1.0301
    0.03%
    2.89%
    3.01%
    点击查看更多
    019904
    2024-07-10
    1.0327
    1.0327
    0.03%
    3.12%
    3.12%
    018511
    2024-07-10
    0.9919
    0.9919
    -0.22%
    --
    -0.81%
    018512
    2024-07-10
    0.9883
    0.9883
    -0.22%
    --
    -1.17%
    021645
    --
    --
    --
    --
    --
    --
    认购定投
    021646
    --
    --
    --
    --
    --
    --
    认购定投
    基金名称
    基金代码
    净值日期
    单位净值
    累计净值
    日涨幅
    近一年收益率
    成立以来收益率
    操作
    001862
    2024-07-12
    1.0277
    1.2577
    -0.31%
    -4.90%
    26.71%
    001863
    2024-07-12
    1.0068
    1.2208
    -0.31%
    -5.29%
    22.68%
    002701
    2024-07-12
    1.0901
    1.3801
    0.06%
    -0.28%
    42.22%
    002702
    2024-07-12
    1.0661
    1.3401
    0.05%
    -0.68%
    37.66%
    005008
    2024-07-12
    1.0907
    1.3607
    0.05%
    -0.28%
    33.53%
    申购定投
    002651
    2024-07-12
    1.0659
    1.3759
    0.04%
    -0.09%
    41.98%
    002652
    2024-07-12
    1.0601
    1.3351
    0.05%
    -0.48%
    37.33%
    020284
    2024-07-12
    1.0039
    1.0039
    0.10%
    --
    0.39%
    020285
    2024-07-12
    1.0021
    1.0021
    0.09%
    --
    0.21%
    申购定投
    001945
    2024-07-12
    1.1175
    1.3675
    -0.19%
    -1.22%
    39.32%
    点击查看更多
    001946
    2024-07-12
    1.0875
    1.3275
    -0.19%
    -1.61%
    34.89%
    007262
    2024-07-12
    1.2686
    1.2686
    -0.19%
    -1.44%
    26.86%
    007263
    2024-07-12
    1.2442
    1.2442
    -0.18%
    -1.82%
    24.42%
    018479
    2024-07-12
    1.0249
    1.0249
    -0.05%
    --
    2.49%
    018480
    2024-07-12
    1.0227
    1.0227
    -0.05%
    --
    2.27%
    申购定投
    001906
    2024-07-12
    1.0931
    1.3769
    0.06%
    3.82%
    41.50%
    申购定投
    002650
    2024-07-12
    1.1032
    1.3113
    0.03%
    3.39%
    33.79%
    019100
    2024-07-12
    1.1239
    1.1339
    0.03%
    3.02%
    3.02%
    013168
    2024-07-12
    1.0996
    1.1846
    0.03%
    3.29%
    9.20%
    018166
    2024-07-12
    1.1249
    1.1349
    0.03%
    3.26%
    4.54%
    003668
    2024-07-12
    1.0729
    1.2789
    0.01%
    3.18%
    30.66%
    003669
    2024-07-12
    1.0675
    1.2525
    0.01%
    2.97%
    27.61%
    020615
    2024-07-12
    1.0671
    1.0671
    0.01%
    2.15%
    2.15%
    008428
    2024-07-12
    1.0773
    1.1723
    0.02%
    2.08%
    18.08%
    申购定投
    009670
    2024-07-12
    1.0952
    1.1302
    0.03%
    3.99%
    13.24%
    021407
    2024-07-12
    1.0951
    1.0951
    0.03%
    0.77%
    0.77%
    018186
    2024-07-12
    1.0932
    1.1182
    0.03%
    3.83%
    4.85%
    009834
    2024-07-12
    1.0049
    1.1449
    0.01%
    3.73%
    15.49%
    申购定投
    009579
    2024-07-12
    1.0035
    1.1247
    0.05%
    2.71%
    13.20%
    申购定投
    014910
    2024-07-12
    1.0539
    1.0739
    0.01%
    2.88%
    7.43%
    014911
    2024-07-12
    1.0514
    1.0714
    0.01%
    2.78%
    7.18%
    015612
    2024-07-12
    1.0501
    1.0701
    0.01%
    2.74%
    6.63%
    018180
    2024-07-12
    1.0342
    1.0342
    0.01%
    3.21%
    3.42%
    018181
    2024-07-12
    1.0320
    1.0320
    0.01%
    3.01%
    3.20%
    018867
    2024-07-12
    1.0177
    1.0277
    0.07%
    --
    2.78%
    申购定投
    019755
    2024-07-12
    1.0206
    1.0206
    0.02%
    --
    2.06%
    019756
    2024-07-12
    1.0194
    1.0194
    0.02%
    --
    1.94%
    019541
    2024-07-12
    1.0243
    1.0243
    0.01%
    --
    2.43%
    019542
    2024-07-12
    1.0230
    1.0230
    0.01%
    --
    2.30%
    020044
    2024-07-12
    1.0195
    1.0195
    0.03%
    --
    1.95%
    020045
    2024-07-12
    1.0194
    1.0194
    0.02%
    --
    1.94%
    020133
    2024-07-12
    1.0209
    1.0209
    0.01%
    --
    2.09%
    020134
    2024-07-12
    1.0195
    1.0195
    0.01%
    --
    1.95%
    基金名称
    基金代码
    净值日期
    每万份收益
    七日年化收益率
    申购费率
    操作
    007865
    2024-07-14
    0.4554
    1.686%
    0.0%
    005056
    2024-07-14
    0.4144
    1.538%
    0.0%
    申购定投
    005057
    2024-07-14
    0.4800
    1.778%
    0.0%
    申购定投
    007864
    2024-07-14
    0.4144
    1.534%
    0.0%
    申购定投
    005058
    2024-07-14
    0.4800
    1.778%
    0.0%

    • 证券资产管理业务公告

    网站地图