0571-26305906

0571-26305906

胡建华

  • 2.21 亿 +

    管理规模

  • 4只

    旗下基金

  • 6年

    从业年限

  • 宏观策略

    擅长策略

历史战绩

最大盈利:

最大亏损:

最大回撤:

255.03%

-15.60%

-40.77%

盈利基金数量:

亏损基金数量:

盈利基金数量占比:

1只

3只

25.00%

代表作品
国信金理财经典组合
成立以来收益走势图
历史净值
净值日期 单位净值 累计净值 跌涨幅
2015-07-17 1.4976 2.5909 0.02%
2015-07-16 1.4973 2.5906 -0.02%
2015-07-15 1.4976 2.5909 0.01%
2015-07-14 1.4975 2.5908 0.01%
2015-07-13 1.4973 2.5906 0.01%
2015-07-10 1.4971 2.5904 0.01%
2015-07-09 1.4970 2.5903 -0.03%
2015-07-08 1.4974 2.5907 -0.03%
2015-07-07 1.4979 2.5912 -0.72%
2015-07-06 1.5088 2.6021 -1.80%
2015-07-03 1.5364 2.6297 -10.44%
2015-06-26 1.7155 2.8088 -4.96%
2015-06-19 1.8051 2.8984 -6.12%
2015-06-12 1.9228 3.0161 1.97%
2015-06-05 1.8857 2.9790 6.98%
2015-05-29 1.7626 2.8559 -0.10%
2015-05-22 1.7643 2.8576 7.15%
2015-05-15 1.6466 2.7399 7.87%
2015-05-08 1.5264 2.6197 -1.97%
2015-04-30 1.5571 2.6504 -0.35%
2015-04-24 1.5625 2.6558 3.10%
2015-04-17 1.5155 2.6088 1.54%
2015-04-10 1.4925 2.5858 1.87%
2015-04-03 1.4651 2.5584 5.81%
2015-03-27 1.3846 2.4779 3.04%
2015-03-20 1.3438 2.4371 6.18%
2015-03-13 1.2656 2.3589 -0.09%
2015-03-06 1.2667 2.3600 3.17%
2015-02-27 1.2278 2.3211 0.09%
2015-02-17 1.2267 2.3200 2.70%
2015-02-13 1.1944 2.2877 1.50%
2015-02-06 1.1768 2.2701 -0.31%
2015-02-05 1.1805 2.2738 -0.32%
2015-02-04 1.1843 2.2776 1.40%
2015-02-03 1.1679 2.2612 0.04%
2015-02-02 1.1674 2.2607 -0.92%
2015-01-30 1.1782 2.2715 -0.72%
2015-01-29 1.1868 2.2801 -0.42%
2015-01-28 1.1918 2.2851 0.08%
2015-01-27 1.1909 2.2842 0.83%
2015-01-26 1.1811 2.2744 -0.19%
2015-01-23 1.1833 2.2766 2.38%
2015-01-16 1.1558 2.2491 2.41%
2015-01-09 1.1286 2.2219 2.85%
2014-12-31 1.0973 2.1906 -1.36%
2014-12-26 1.1124 2.2057 -2.40%
2014-12-19 1.1398 2.2331 1.61%
2014-12-12 1.1217 2.2150 -1.15%
2014-12-05 1.1347 2.2280 3.07%
2014-11-28 1.1009 2.1942 4.28%
2014-11-21 1.0557 2.1490 0.91%
2014-11-14 1.0462 2.1395 -2.59%
2014-11-07 1.0740 2.1673 -0.02%
2014-10-31 1.0742 2.1675 2.49%
2014-10-24 1.0481 2.1414 -1.61%
2014-10-17 1.0652 2.1585 -0.87%
2014-10-10 1.0745 2.1678 1.30%
2014-09-30 1.0607 2.1540 0.79%
2014-09-26 1.0524 2.1457 0.75%
2014-09-19 1.0446 2.1379 -0.07%
2014-09-12 1.0453 2.1386 0.60%
2014-09-05 1.0391 2.1324 3.62%
2014-08-29 1.0028 2.0961 -0.99%
2014-08-22 1.0128 2.1061 1.07%
2014-08-15 1.0021 2.0954 1.42%
2014-08-08 0.9881 2.0814 -0.51%
2014-08-07 0.9932 2.0865 0.13%
2014-08-06 0.9919 2.0852 0.13%
2014-08-05 0.9906 2.0839 0.58%
2014-08-04 0.9849 2.0782 -0.16%
2014-08-01 0.9865 2.0798 0.37%
2014-07-31 0.9829 2.0762 0.45%
2014-07-30 0.9785 2.0718 0.70%
2014-07-29 0.9717 2.0650 0.99%
2014-07-28 0.9622 2.0555 0.47%
2014-07-25 0.9577 2.0510 -0.16%
2014-07-18 0.9592 2.0525 -0.69%
2014-07-11 0.9659 2.0592 -1.45%
2014-07-04 0.9801 2.0734 2.30%
2014-06-27 0.9581 2.0514 2.40%
2014-06-20 0.9356 2.0289 -1.67%
2014-06-13 0.9515 2.0448 1.01%
2014-06-06 0.9420 2.0353 0.26%
2014-05-30 0.9396 2.0329 1.78%
2014-05-23 0.9232 2.0165 0.36%
2014-05-16 0.9199 2.0132 -1.03%
2014-05-09 0.9295 2.0228 0.38%
2014-04-30 0.9260 2.0193 -1.55%
2014-04-25 0.9406 2.0339 -2.43%
2014-04-18 0.9640 2.0573 -0.03%
2014-04-11 0.9643 2.0576 2.85%
2014-04-04 0.9376 2.0309 -0.70%
2014-03-28 0.9442 2.0375 -0.99%
2014-03-21 0.9536 2.0469 -0.96%
2014-03-14 0.9628 2.0561 -1.06%
2014-03-07 0.9731 2.0664 0.24%
2014-02-28 0.9708 2.0641 -4.15%
2014-02-21 1.0128 2.1061 0.35%
2014-02-14 1.0093 2.1026 1.48%
2014-02-07 0.9946 2.0879 -0.15%
2014-01-30 0.9961 2.0894 0.56%
2014-01-29 0.9906 2.0839 0.37%
2014-01-28 0.9869 2.0802 -0.59%
2014-01-27 0.9928 2.0861 0.75%
2014-01-24 0.9854 2.0787 0.64%
2014-01-23 0.9791 2.0724 0.76%
2014-01-22 0.9717 2.0650 0.90%
2014-01-21 0.9630 2.0563 -0.24%
2014-01-20 0.9653 2.0586 -0.78%
2014-01-17 0.9729 2.0662 0.87%
2014-01-10 0.9645 2.0578 -1.37%
2014-01-03 0.9779 2.0712 2.36%
2013-12-27 0.9554 2.0487 0.87%
2013-12-20 0.9472 2.0405 -2.15%
2013-12-13 0.9680 2.0613 0.69%
2013-12-06 0.9614 2.0547 -1.67%
2013-11-29 0.9777 2.0710 1.94%
2013-11-22 0.9591 2.0524 1.72%
2013-11-15 0.9429 2.0362 0.99%
2013-11-08 0.9337 2.0270 -1.49%
2013-11-01 0.9478 2.0411 -2.31%
2013-10-25 0.9702 2.0635 -1.20%
2013-10-18 0.9820 2.0753 -1.48%
2013-10-11 0.9968 2.0901 1.47%
2013-09-30 0.9824 2.0757 0.45%
2013-09-27 0.9780 2.0713 0.66%
2013-09-18 0.9716 2.0649 -0.12%
2013-09-13 0.9728 2.0661 -0.59%
2013-09-06 0.9786 2.0719 0.99%
2013-08-30 0.9690 2.0623 -1.00%
2013-08-23 0.9788 2.0721 1.06%
2013-08-16 0.9685 2.0618 -1.16%
2013-08-09 0.9799 2.0732 0.32%
2013-08-08 0.9768 2.0701 -0.44%
2013-08-07 0.9811 2.0744 -0.04%
2013-08-06 0.9815 2.0748 0.93%
2013-08-05 0.9725 2.0658 0.38%
2013-08-02 0.9688 2.0621 1.26%
2013-08-01 0.9567 2.0500 1.02%
2013-07-31 0.9470 2.0403 -0.15%
2013-07-30 0.9484 2.0417 -1.00%
2013-07-29 0.9580 2.0513 -0.89%
2013-07-26 0.9666 2.0599 -0.66%
2013-07-25 0.9730 2.0663 2.26%
2013-07-19 0.9515 2.0448 0.35%
2013-07-12 0.9482 2.0415 0.58%
2013-07-05 0.9427 2.0360 2.69%
2013-06-28 0.9180 2.0113 -1.55%
2013-06-21 0.9325 2.0258 -1.60%
2013-06-14 0.9477 2.0410 -0.87%
2013-06-07 0.9560 2.0493 -2.92%
2013-05-31 0.9848 2.0781 1.08%
2013-05-24 0.9743 2.0676 0.68%
2013-05-17 0.9677 2.0610 0.84%
2013-05-10 0.9596 2.0529 2.24%
2013-05-03 0.9386 2.0319 0.47%
2013-04-26 0.9342 2.0275 -0.67%
2013-04-19 0.9405 2.0338 1.13%
2013-04-12 0.9300 2.0233 -0.40%
2013-04-03 0.9337 2.0270 -1.54%
2013-03-29 0.9483 2.0416 -1.02%
2013-03-22 0.9581 2.0514 2.23%
2013-03-15 0.9372 2.0305 -1.50%
2013-03-08 0.9515 2.0448 -0.45%
2013-03-01 0.9558 2.0491 1.21%
2013-02-22 0.9444 2.0377 -0.77%
2013-02-08 0.9517 2.0450 0.70%
2013-02-07 0.9451 2.0384 0.94%
2013-01-31 0.9363 2.0296 1.38%
2013-01-18 0.9236 2.0169 2.04%
2013-01-11 0.9051 1.9984 0.15%
2013-01-04 0.9037 1.9970 0.96%
2012-12-28 0.8951 1.9884 1.92%
2012-12-21 0.8782 1.9715 0.91%
2012-12-14 0.8703 1.9636 1.00%
2012-12-07 0.8617 1.9550 0.97%
2012-11-30 0.8534 1.9467 -1.84%
2012-11-23 0.8694 1.9627 -0.58%
2012-11-16 0.8745 1.9678 -1.45%
2012-11-09 0.8874 1.9807 -1.78%
2012-11-02 0.9035 1.9968 1.89%
2012-10-26 0.8867 1.9800 -2.80%
2012-10-19 0.9122 2.0055 1.07%
2012-10-12 0.9025 1.9958 1.42%
2012-09-28 0.8899 1.9832 0.77%
2012-09-21 0.8831 1.9764 -2.71%
2012-09-14 0.9077 2.0010 -0.09%
2012-09-07 0.9085 2.0018 2.09%
2012-08-31 0.8899 1.9832 -1.46%
2012-08-24 0.9031 1.9964 0.30%
2012-08-17 0.9004 1.9937 -1.65%
2012-08-10 0.9155 2.0088 1.08%
2012-08-08 0.9057 1.9990 -0.22%
2012-08-07 0.9077 2.0010 0.57%
2012-08-06 0.9026 1.9959 1.05%
2012-08-03 0.8932 1.9865 0.43%
2012-08-02 0.8894 1.9827 0.53%
2012-08-01 0.8847 1.9780 0.14%
2012-07-31 0.8835 1.9768 -0.43%
2012-07-30 0.8873 1.9806 -0.63%
2012-07-27 0.8929 1.9862 -0.59%
2012-07-26 0.8982 1.9915 -0.16%
2012-07-25 0.8996 1.9929 -0.20%
2012-07-20 0.9014 1.9947 -1.80%
2012-07-13 0.9179 2.0112 0.72%
2012-07-06 0.9113 2.0046 1.38%
2012-06-29 0.8989 1.9922 -1.36%
2012-06-21 0.9113 2.0046 -1.20%
2012-06-15 0.9224 2.0157 2.05%
2012-06-08 0.9039 1.9972 -2.02%
2012-06-01 0.9225 2.0158 1.90%
2012-05-18 0.9053 1.9986 -0.22%
2012-04-27 0.9073 2.0006 0.23%
2012-04-13 0.9052 1.9985 2.98%
2012-03-30 0.8790 1.9723 -3.10%
2012-03-16 0.9071 2.0004 -0.74%
2012-02-24 0.9139 2.0072 4.20%
2012-02-10 0.8771 1.9704 2.58%
2012-01-31 0.8550 1.9483 -1.14%
2012-01-13 0.8649 1.9582 2.07%
2012-01-06 0.8474 1.9407 -2.74%
2011-12-30 0.8713 1.9646 -8.67%
2011-12-02 0.9540 2.0473 -0.76%
2011-11-25 0.9613 2.0546 -1.29%
2011-11-18 0.9739 2.0672 -1.16%
2011-11-11 0.9853 2.0786 -0.95%
2011-11-04 0.9948 2.0881 3.68%
2011-10-28 0.9595 2.0528 3.09%
2011-10-21 0.9307 2.0240 -4.56%
2011-10-14 0.9752 2.0685 1.42%
2011-09-30 0.9615 2.0548 -3.14%
2011-09-23 0.9927 2.0860 -1.66%
2011-09-16 1.0095 2.1028 -1.10%
2011-09-09 1.0207 2.1140 -2.35%
2011-09-02 1.0453 2.1386 -2.51%
2011-08-26 1.0722 2.1655 1.44%
2011-08-19 1.0570 2.1503 -1.45%
2011-08-12 1.0725 2.1658 -0.79%
2011-08-05 1.0810 2.1743 -1.28%
2011-07-29 1.0950 2.1883 -1.24%
2011-07-22 1.1087 2.2020 --
2011-07-20 1.1087 2.2020 -3.77%
2011-07-15 1.1521 2.2154 1.52%
2011-07-08 1.1349 2.1982 2.03%
2011-07-01 1.1123 2.1756 1.66%
2011-06-24 1.0941 2.1574 1.64%
2011-06-17 1.0764 2.1397 -1.12%
2011-06-10 1.0886 2.1519 0.07%
2011-06-03 1.0878 2.1511 -0.10%
2011-05-27 1.0889 2.1522 -4.14%
2011-05-20 1.1359 2.1992 -0.56%
2011-05-13 1.1423 2.2056 0.40%
2011-05-06 1.1377 2.2010 -0.39%
2011-04-29 1.1421 2.2054 -5.03%
2011-04-15 1.2026 2.2659 0.31%
2011-04-08 1.1989 2.2622 1.02%
2011-04-01 1.1868 2.2501 -1.71%
2011-03-25 1.2075 2.2708 0.67%
2011-03-18 1.1995 2.2628 -1.05%
2011-02-25 1.2122 2.2755 4.26%
2011-01-31 1.1627 2.2260 -5.66%
2010-12-31 1.2324 2.2957 -1.36%
2010-11-26 1.2494 2.3127 1.04%
2010-10-29 1.2365 2.2998 6.02%
2010-09-30 1.1663 2.2296 3.75%
2010-08-27 1.1241 2.1874 1.91%
2010-07-30 1.1030 2.1663 0.95%
2010-06-25 1.0926 2.1559 -2.21%
2010-05-28 1.1173 2.1806 -0.19%
2010-04-30 1.1194 2.1827 -1.18%
2010-03-26 1.1328 2.1961 -0.50%
2010-02-26 1.1385 2.2018 0.69%
2010-01-29 1.1307 2.1940 -0.82%
2010-01-20 1.1401 2.2034 -12.21%
2009-12-31 1.2987 2.2170 5.77%
2009-11-27 1.2279 2.1462 2.20%
2009-10-30 1.2015 2.1198 6.78%
2009-09-30 1.1252 2.0435 -0.65%
2009-08-28 1.1326 2.0509 -0.26%
2009-07-31 1.1355 2.0538 -0.01%
2009-07-21 1.1356 2.0539 1.69%
2009-06-26 1.1167 1.9967 7.63%
2009-05-27 1.0375 1.9175 5.59%
2009-04-30 0.9826 1.8626 4.77%
2009-03-27 0.9379 1.8179 13.37%
2009-02-27 0.8273 1.7073 2.60%
2009-01-23 0.8063 1.6863 6.61%
2008-12-31 0.7563 1.6363 1.44%
2008-11-28 0.7456 1.6256 -0.31%
2008-10-31 0.7479 1.6279 -7.00%
2008-09-26 0.8042 1.6842 1.58%
2008-08-29 0.7917 1.6717 -9.44%
2008-07-31 0.8742 1.7542 1.52%
2008-06-27 0.8611 1.7411 -12.17%
2008-05-30 0.9804 1.8604 -3.23%
2008-04-30 1.0131 1.8931 1.09%
2008-03-28 1.0022 1.8822 -13.03%
2008-02-29 1.1524 2.0324 0.06%
2008-01-31 1.1517 2.0317 -8.51%
2007-12-28 1.2588 2.1388 8.18%
2007-11-30 1.1636 2.0436 -5.96%
2007-10-26 1.2373 2.1173 -1.47%
2007-09-30 1.2558 2.1358 2.38%
2007-08-31 1.2266 2.1066 11.21%
2007-07-31 1.1030 1.9830 5.29%
2007-07-20 1.0476 1.9276 -30.36%
2007-06-29 1.5042 1.9042 4.05%
2007-05-25 1.4456 1.8456 7.38%
2007-04-30 1.3462 1.7462 15.84%
2007-03-30 1.1621 1.5621 0.03%
2007-02-16 1.1618 1.5618 5.87%
2007-01-31 1.0974 1.4974 -1.65%
2007-01-23 1.1158 1.5158 -22.29%
2006-12-29 1.4359 1.4359 20.62%
2006-11-24 1.1904 1.1904 8.17%
2006-10-27 1.1005 1.1005 2.84%
2006-09-29 1.0701 1.0701 5.75%
2006-08-25 1.0119 1.0119 1.03%
2006-08-11 1.0016 1.0016 0.16%
2006-08-07 1.0000 1.0000 --
*号的为单位面值不为1的,把单位面值处理为1
旗下基金
运行中 | 已清算
基金简称 投资策略 最新净值 成立以来 今年收益 近一年
国信金理财经典组合
组合基金 1.4976 255.03% 36.48% 52.37%
国信金理财多策略
股票策略 0.9492 -5.08% 0.11% 8.29%
基金简称 投资策略 最新净值 成立以来 今年收益 近一年
国信金理财泰然1号
股票策略 0.8420 -6.91% -10.34% -9.27%
国信明曜启明4期
复合策略 0.8440 -15.60% -13.61% --
人物简介

基金公司:

性别:

当前职位:

从业开始年份:

国信证券股份有限公司

投资经理

--

职业背景:

学历:

毕业院校:

券商

硕士

清华大学经济管理学院

胡建华先生:毕业于清华大学经济管理学院技术经济及管理专业,研究生学历。2008年加盟国信证券。现任国信证券股份有限公司资产管理部投资经理助理,曾任“深国投·国信1期”投资经理助理。

免责声明:量财富私募数据中心数据全部来源于合法渠道,尽力为用户提供权威、准确、完整、及时的私募数据,但无法对这些数据的准确性、及时性做出任何保证,据此做出任何决策,须自行承担风险与责任。

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