富国久利稳健配置混合A
Search documents
富国久利稳健配置混合A基金经理变动:增聘俞晓斌为基金经理
Sou Hu Cai Jing· 2025-11-06 01:40
证券之星消息,2025年11月6日,富国久利稳健配置混合型(003877)发布公告,增聘俞晓斌为基金经理,任职日期自2025年11月6日起,变更后 富国久利稳健配置混合型(003877)的基金经理为蔡耀华,俞晓斌,刘兴旺。截止2025年11月5日,富国久利稳健配置混合型净值为1.7948,较上一 日上涨0.39%,近一年上涨40.24%。 其管理过的公募基金如下: | 罩我代码 | 基金名称 | 规模(亿元) | 任职时间 | 任职回报 | | --- | --- | --- | --- | --- | | 000107 | 富国稳健增强债券A/B | 27.01 | 2019-03-13~至今 | 31.61% | | 000109 | 富国稳健增强债券C | 14.14 | 2019-03-13 ~ 至今 | 28.23% | | 000197 | 富国目标收益 - 年期纯债债券 | 30.32 | 2019-05-20 ~ 2023-01-19 | 13.45% | | 000810 | 富国收益增强债券A | 3.31 | 2019-03-07 ~ 2020-04-16 | 13.12% | | 00 ...
长跑业绩彰显投研实力,富国基金上半年为基民大赚近300亿元
Bei Jing Shang Bao· 2025-08-07 12:27
Core Insights - Despite the active performance of sectors like technology, new consumption, and pharmaceuticals, investors have found it challenging to achieve ideal returns, with the CSI 300 index showing a mere 0.03% increase year-to-date as of June, contrasting sharply with the nearly 8% rise in the Wind Active Equity Mixed Fund Index, highlighting the scarcity of professional research capabilities in volatile markets [1] Group 1: Fund Performance - In Q2, public funds achieved a total profit of 386.3 billion yuan, with Fuqun Fund ranking fifth in the industry with a profit of 19.492 billion yuan. For the first half of the year, Fuqun Fund generated 29.832 billion yuan for investors, placing it fourth overall [2] - Fuqun Fund's active equity research strength is a core competitive advantage, with 11 of its equity funds ranking in the top 10 of their categories over the past year. Notably, Fuqun Medical Innovation Stock A and Fuqun Active Growth One-Year Regular Open Mixed Fund both exceeded 40% in returns [2][3] Group 2: Long-term Performance - Over the past five and seven years, Fuqun Fund has had 5 and 10 products, respectively, ranking in the top 10 of their categories. Fuqun New Vitality Flexible Allocation Mixed A achieved returns of 67.84% and 175.32% over the past five and seven years, respectively, ranking first in its category [4] - Fuqun Global Consumer Selection A, managed by a Hong Kong fund manager, has shown impressive long-term performance with returns of 86.16% and 70.68% over the past two and three years [3] Group 3: Fixed Income and Quantitative Strategies - In the fixed income sector, Fuqun Fund's products have maintained a "steady" approach despite market challenges. Fuqun Strong Return Regular Open Bond A achieved returns of 13.03%, 23.28%, and 45.09% over three, five, and seven years, respectively, ranking in the top 9% of its category [5] - Fuqun Fund's quantitative strategies have also performed well, with 10 of its quantitative funds ranking in the top 10 of their categories over the past year. The classic broad-based ETF, the Shanghai Composite Index ETF, has consistently ranked in the top 5 over three, five, and seven years [6]