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代码 |
基金名称 |
净值日期 |
单位净值 |
累计净值 |
涨跌幅 |
风险等级 |
002810 |
金信转型创新成长混合发起式A
|
2025-01-27
|
2.3179
|
2.3179
|
-2.53%
|
R3(中风险)
|
020384 |
金信转型创新成长混合发起式C
|
2025-01-27
|
2.3026
|
2.3026
|
-2.54%
|
R3(中风险)
|
009317 |
金信核心竞争力混合A
|
2025-01-27
|
0.8997
|
2.2955
|
+0.32%
|
R3(中风险)
|
020433 |
金信核心竞争力混合C
|
2025-01-27
|
0.9058
|
0.9058
|
+0.33%
|
R3(中风险)
|
002849 |
金信智能混合A
|
2025-01-27
|
1.9853
|
2.2496
|
+0.54%
|
R3(中风险)
|
020435 |
金信智能混合C
|
2025-01-27
|
1.9585
|
1.9585
|
+0.53%
|
R3(中风险)
|
002863 |
金信深圳成长混合A
|
2025-01-27
|
1.8459
|
2.4953
|
-1.96%
|
R3(中风险)
|
020180 |
金信深圳成长混合C
|
2025-01-27
|
1.9541
|
2.4654
|
-1.97%
|
R3(中风险)
|
002862 |
金信量化精选混合A
|
2025-01-27
|
0.8802
|
1.2111
|
-1.81%
|
R3(中风险)
|
020434 |
金信量化精选混合C
|
2025-01-27
|
0.8798
|
0.8798
|
-1.81%
|
R3(中风险)
|
002256 |
金信行业优选混合发起式A
|
2025-01-27
|
1.6355
|
1.6355
|
-3.68%
|
R3(中风险)
|
020451 |
金信行业优选混合发起式C
|
2025-01-27
|
1.6538
|
1.6538
|
-3.66%
|
R3(中风险)
|
004223 |
金信多策略精选混合A
|
2025-01-27
|
1.4506
|
2.2185
|
-3.51%
|
R3(中风险)
|
020592 |
金信多策略精选混合C
|
2025-01-27
|
1.4490
|
1.4490
|
-3.51%
|
R3(中风险)
|
005117 |
金信价值精选混合A
|
2025-01-27
|
1.0917
|
1.0917
|
0.00%
|
R3(中风险)
|
005118 |
金信价值精选混合C
|
2025-01-27
|
0.9372
|
1.1133
|
-0.01%
|
R3(中风险)
|
006692 |
金信消费升级股票A
|
2025-01-27
|
1.4662
|
2.2352
|
-0.60%
|
R3(中风险)
|
006693 |
金信消费升级股票C
|
2025-01-27
|
1.4807
|
2.2304
|
-0.60%
|
R3(中风险)
|
007872 |
金信稳健策略混合A
|
2025-01-27
|
1.3845
|
1.3845
|
-3.59%
|
R3(中风险)
|
020436 |
金信稳健策略混合C
|
2025-01-27
|
1.3829
|
1.3829
|
-3.59%
|
R3(中风险)
|
004222 |
金信民旺债券A
|
2025-01-27
|
1.2055
|
1.2055
|
-0.03%
|
R2(中低风险)
|
004402 |
金信民旺债券C
|
2025-01-27
|
1.1667
|
1.1667
|
-0.03%
|
R2(中低风险)
|
004400 |
金信民兴债券A
|
2025-01-27
|
1.0447
|
2.7793
|
+0.13%
|
R2(中低风险)
|
004401 |
金信民兴债券C
|
2025-01-27
|
1.1082
|
1.9374
|
+0.13%
|
R2(中低风险)
|
009425 |
金信民安两年债券
|
2025-01-27
|
1.0401
|
1.0401
|
+0.01%
|
R2(中低风险)
|
020078 |
金信民富债券A
|
2025-01-27
|
1.0294
|
1.3789
|
+0.18%
|
R2(中低风险)
|
020079 |
金信民富债券C
|
2025-01-27
|
1.0433
|
1.3992
|
+0.18%
|
R2(中低风险)
|
022231 |
金信民富债券E
|
2025-01-27
|
1.4058
|
1.4058
|
+0.19%
|
R2(中低风险)
|
004077 |
金信民发货币A
|
2025-02-04
|
1.0000
|
1.0000
|
--
|
R1(低风险)
|
004078 |
金信民发货币B
|
2025-02-04
|
1.0000
|
1.0000
|
--
|
R1(低风险)
|
018204 |
金信优质成长混合A
|
2025-01-27
|
1.0483
|
1.0483
|
-1.84%
|
R3(中风险)
|
020445 |
金信优质成长混合C
|
2025-01-27
|
1.0450
|
1.0450
|
-1.85%
|
R3(中风险)
|
018776 |
金信精选成长混合A
|
2025-01-27
|
0.9860
|
0.9860
|
-3.84%
|
R3(中风险)
|
018777 |
金信精选成长混合C
|
2025-01-27
|
0.9779
|
0.9779
|
-3.84%
|
R3(中风险)
|
018375 |
金信景气优选混合A
|
2025-01-27
|
1.1158
|
1.1158
|
-1.91%
|
R3(中风险)
|
018376 |
金信景气优选混合C
|
2025-01-27
|
1.1104
|
1.1104
|
-1.91%
|
R3(中风险)
|
代码 |
基金名称 |
净值日期 |
单位净值 |
累计净值 |
涨跌幅 |
风险等级 |
006692 |
金信消费升级股票A
|
2025-01-27
|
1.4662
|
2.2352
|
-0.60%
|
R3(中风险)
|
006693 |
金信消费升级股票C
|
2025-01-27
|
1.4807
|
2.2304
|
-0.60%
|
R3(中风险)
|
代码 |
基金名称 |
净值日期 |
单位净值 |
累计净值 |
涨跌幅 |
风险等级 |
002810 |
金信转型创新成长混合发起式A
|
2025-01-27
|
2.3179
|
2.3179
|
-2.53%
|
R3(中风险)
|
020384 |
金信转型创新成长混合发起式C
|
2025-01-27
|
2.3026
|
2.3026
|
-2.54%
|
R3(中风险)
|
009317 |
金信核心竞争力混合A
|
2025-01-27
|
0.8997
|
2.2955
|
+0.32%
|
R3(中风险)
|
020433 |
金信核心竞争力混合C
|
2025-01-27
|
0.9058
|
0.9058
|
+0.33%
|
R3(中风险)
|
002849 |
金信智能混合A
|
2025-01-27
|
1.9853
|
2.2496
|
+0.54%
|
R3(中风险)
|
020435 |
金信智能混合C
|
2025-01-27
|
1.9585
|
1.9585
|
+0.53%
|
R3(中风险)
|
002863 |
金信深圳成长混合A
|
2025-01-27
|
1.8459
|
2.4953
|
-1.96%
|
R3(中风险)
|
020180 |
金信深圳成长混合C
|
2025-01-27
|
1.9541
|
2.4654
|
-1.97%
|
R3(中风险)
|
002862 |
金信量化精选混合A
|
2025-01-27
|
0.8802
|
1.2111
|
-1.81%
|
R3(中风险)
|
020434 |
金信量化精选混合C
|
2025-01-27
|
0.8798
|
0.8798
|
-1.81%
|
R3(中风险)
|
002256 |
金信行业优选混合发起式A
|
2025-01-27
|
1.6355
|
1.6355
|
-3.68%
|
R3(中风险)
|
020451 |
金信行业优选混合发起式C
|
2025-01-27
|
1.6538
|
1.6538
|
-3.66%
|
R3(中风险)
|
004223 |
金信多策略精选混合A
|
2025-01-27
|
1.4506
|
2.2185
|
-3.51%
|
R3(中风险)
|
020592 |
金信多策略精选混合C
|
2025-01-27
|
1.4490
|
1.4490
|
-3.51%
|
R3(中风险)
|
005117 |
金信价值精选混合A
|
2025-01-27
|
1.0917
|
1.0917
|
0.00%
|
R3(中风险)
|
005118 |
金信价值精选混合C
|
2025-01-27
|
0.9372
|
1.1133
|
-0.01%
|
R3(中风险)
|
007872 |
金信稳健策略混合A
|
2025-01-27
|
1.3845
|
1.3845
|
-3.59%
|
R3(中风险)
|
020436 |
金信稳健策略混合C
|
2025-01-27
|
1.3829
|
1.3829
|
-3.59%
|
R3(中风险)
|
005412 |
金信民长混合A
|
2025-01-27
|
1.2748
|
1.2748
|
-2.28%
|
R3(中风险)
|
005413 |
金信民长混合C
|
2025-01-27
|
1.2075
|
1.2075
|
-2.28%
|
R3(中风险)
|
018204 |
金信优质成长混合A
|
2025-01-27
|
1.0483
|
1.0483
|
-1.84%
|
R3(中风险)
|
020445 |
金信优质成长混合C
|
2025-01-27
|
1.0450
|
1.0450
|
-1.85%
|
R3(中风险)
|
018776 |
金信精选成长混合A
|
2025-01-27
|
0.9860
|
0.9860
|
-3.84%
|
R3(中风险)
|
018777 |
金信精选成长混合C
|
2025-01-27
|
0.9779
|
0.9779
|
-3.84%
|
R3(中风险)
|
018375 |
金信景气优选混合A
|
2025-01-27
|
1.1158
|
1.1158
|
-1.91%
|
R3(中风险)
|
018376 |
金信景气优选混合C
|
2025-01-27
|
1.1104
|
1.1104
|
-1.91%
|
R3(中风险)
|
代码 |
基金名称 |
净值日期 |
单位净值 |
累计净值 |
涨跌幅 |
风险等级 |
代码 |
基金名称 |
净值日期 |
每万份收益(元) |
七日年化收益率 |
风险等级 |
004077 |
金信民发货币A
|
2025-02-04
|
0.3516
|
1.301%
|
R1(低风险)
|
004078 |
金信民发货币B
|
2025-02-04
|
0.4174
|
1.545%
|
R1(低风险)
|
018324 |
金信民发货币E
|
2025-02-04
|
0.3511
|
1.301%
|
R1(低风险)
|
代码 |
基金名称 |
净值日期 |
单位净值 |
累计净值 |
涨跌幅 |
风险等级 |
008571 |
金信民达纯债A
|
2025-01-27
|
1.0966
|
1.2498
|
+0.08%
|
R2(中低风险)
|
008572 |
金信民达纯债C
|
2025-01-27
|
1.2491
|
1.2491
|
+0.09%
|
R2(中低风险)
|
004222 |
金信民旺债券A
|
2025-01-27
|
1.2055
|
1.2055
|
-0.03%
|
R2(中低风险)
|
004402 |
金信民旺债券C
|
2025-01-27
|
1.1667
|
1.1667
|
-0.03%
|
R2(中低风险)
|
004400 |
金信民兴债券A
|
2025-01-27
|
1.0447
|
2.7793
|
+0.13%
|
R2(中低风险)
|
004401 |
金信民兴债券C
|
2025-01-27
|
1.1082
|
1.9374
|
+0.13%
|
R2(中低风险)
|
009425 |
金信民安两年债券
|
2025-01-27
|
1.0401
|
1.0401
|
+0.01%
|
R2(中低风险)
|
020078 |
金信民富债券A
|
2025-01-27
|
1.0294
|
1.3789
|
+0.18%
|
R2(中低风险)
|
020079 |
金信民富债券C
|
2025-01-27
|
1.0433
|
1.3992
|
+0.18%
|
R2(中低风险)
|
022231 |
金信民富债券E
|
2025-01-27
|
1.4058
|
1.4058
|
+0.19%
|
R2(中低风险)
|
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