行情中心升级到1.1版! 官方博客

基金业绩

基金费率

投资组合

基金概况

财务数据

新华恒益量化灵活配置混合(004576)

2022-02-18     1.01630.0197%
 查询其他基金该项数据
报表日期 报表类别 净值增长率 业绩比较基准收益率 收益率差异 净值增长率标准差 业绩比较基准收益率标准差 标准差差异
2021-09-30近三个月-2.5700-2.1900-0.38001.14000.71000.4300
2021-09-30近六个月3.33001.24002.09001.02000.65000.3700
2021-09-30近一年9.77007.38002.39001.22000.74000.4800
2021-09-30近三年27.450034.5100-7.06001.08000.87000.2100
2021-09-30成立至今4.110024.2700-20.16001.05000.83000.2200
2021-06-30近一个月0.2500-0.77001.02000.82000.50000.3200
2021-06-30近三个月6.06003.51002.55000.88000.57000.3100
2021-06-30近三个月6.06003.51002.55000.88000.57000.3100
2021-06-30近六个月1.30002.0900-0.79001.40000.79000.6100
2021-06-30近六个月1.30002.0900-0.79001.40000.79000.6100
2021-06-30近一年31.100016.130014.97001.32000.83000.4900
2021-06-30近一年31.100016.130014.97001.32000.83000.4900
2021-06-30近三年26.480035.1400-8.66001.06000.88000.1800
2021-06-30近三年26.480035.1400-8.66001.06000.88000.1800
2021-06-30成立至今6.860027.0600-20.20001.05000.84000.2100
2021-06-30成立至今6.860027.0600-20.20001.05000.84000.2100
2021-03-31近三个月-4.4900-1.3800-3.11001.78000.97000.8100
2021-03-31近六个月6.23006.06000.17001.41000.82000.5900
2021-03-31近一年32.060021.980010.08001.29000.84000.4500
2021-03-31近三年8.000021.8100-13.81001.07000.89000.1800
2021-03-31成立至今0.750022.7500-22.00001.06000.85000.2100
2020-12-31近三个月11.23007.54003.69000.90000.66000.2400
2020-12-31近三个月11.23007.54003.69000.90000.66000.2400
2020-12-31近六个月29.420013.760015.66001.23000.87000.3600
2020-12-31近六个月29.420013.760015.66001.23000.87000.3600
2020-12-31近一年27.840018.00009.84001.21000.94000.2700
2020-12-31近一年27.840018.00009.84001.21000.94000.2700
2020-12-31近三年7.020022.0700-15.05001.01000.88000.1300
2020-12-31近三年7.020022.0700-15.05001.01000.88000.1300
2020-12-31成立至今5.490024.4600-18.97000.99000.84000.1500
2020-12-31成立至今5.490024.4600-18.97000.99000.84000.1500
2020-09-30近三个月16.35005.780010.57001.48001.04000.4400
2020-09-30近六个月24.320015.01009.31001.17000.86000.3100
2020-09-30近一年17.960015.33002.63001.17000.91000.2600
2020-09-30近三年-5.340014.9200-20.26001.01000.87000.1400
2020-09-30成立至今-5.160015.7300-20.89000.99000.86000.1300
2020-06-30近一个月5.03004.80000.23000.70000.56000.1400
2020-06-30近三个月6.84008.7300-1.89000.67000.60000.0700
2020-06-30近三个月6.84008.7300-1.89000.67000.60000.0700
2020-06-30近六个月-1.22003.7300-4.95001.17001.00000.1700
2020-06-30近六个月-1.22003.7300-4.95001.17001.00000.1700
2020-06-30近一年-0.57009.4500-10.02000.92000.81000.1100
2020-06-30近一年-0.57009.4500-10.02000.92000.81000.1100
2020-06-30成立至今-18.49009.4100-27.90000.93000.84000.0900
2020-06-30成立至今-18.49009.4100-27.90000.93000.84000.0900
2020-03-31近三个月-7.5500-4.6000-2.95001.52001.28000.2400
2019-12-31近三个月2.64005.1100-2.47000.67000.49000.1800
2019-12-31近三个月2.64005.1100-2.47000.67000.49000.1800
2019-12-31近六个月0.66005.5200-4.86000.60000.57000.0300
2019-12-31近一年2.470023.2900-20.82000.81000.8200-0.0100
2019-12-31成立至今-17.48005.4800-22.96000.88000.80000.0800
2019-09-30近三个月-1.93000.3800-2.31000.52000.6400-0.1200
2019-06-30近一个月1.20002.9900-1.79000.28000.7700-0.4900
2019-06-30近三个月-5.8500-1.9600-3.89001.03001.01000.0200
2019-06-30近三个月-5.8500-1.9600-3.89001.03001.01000.0200
2019-06-30近六个月1.800016.8400-15.04000.98001.0200-0.0400
2019-06-30近一年-2.97006.3200-9.29000.88000.9900-0.1100
2019-06-30成立至今-18.0200-0.0400-17.98000.94000.85000.0900
2019-03-31近三个月8.120019.1800-11.06000.93001.0000-0.0700
2018-12-31近三个月-1.4200-7.40005.98000.70001.0800-0.3800
2018-12-31近三个月-1.4200-7.40005.98000.70001.0800-0.3800
2018-12-31近六个月-4.6900-9.01004.32000.78000.9700-0.1900
2018-12-31近一年-18.3000-16.0900-2.21000.98000.87000.1100
2018-12-31成立至今-19.4700-14.4500-5.02000.93000.78000.1500
2018-09-30近三个月-3.3100-1.7400-1.57000.86000.85000.0100
2018-06-30近一个月-6.2300-5.0900-1.14001.04000.90000.1400
2018-06-30近三个月-9.4300-6.7000-2.73001.01000.75000.2600
2018-06-30近三个月-9.4300-6.7000-2.73001.01000.75000.2600
2018-06-30近六个月-14.2800-7.7900-6.49001.15000.76000.3900
2018-06-30成立至今-15.5100-5.9800-9.53001.01000.65000.3600
2018-03-31近三个月-5.3600-1.1700-4.19001.29000.78000.5100
2017-12-31近三个月-1.62001.2500-2.87000.88000.50000.3800
2017-12-31近三个月-1.62001.2500-2.87000.88000.50000.3800
2017-12-31成立至今-1.43001.9600-3.39000.76000.44000.3200