2019-2023年连续五年正收益私募,这个名单可谓是投资界最令人瞩目的榜单之一。近年来,中国的私募基金市场经历了快速发展和良好的表现。在这个庞大的市场中,有一些连续五年实现正收益的私募基金脱颖而出。这些基金通过谨慎而高效的投资策略,成功赢得了投资者的信任和回报。
截至2023年,有哪些私募企业能够跻身于2019年以来连续五年正收益的行列呢?今天汇总了2019年以来连续五年正收益私募名单及收益,详见下表。
排名 |
公司简称 |
核心策略 |
公司规模 |
办公城市 |
2019年收益 |
2020年收益 |
2021年收益 |
2022年收益 |
今年以来收益 |
2019年以来收益 |
1 |
亚鞅资产 |
股票策略 |
5-10亿 |
上海 |
13.86% |
81.52% |
768.77% |
14.01% |
3.03% |
2009.06% |
2 |
天倚道投资 |
股票策略 |
10-20亿 |
上海 |
119.07% |
61.12% |
37.23% |
23.01% |
0.80% |
500.58% |
3 |
北京微观博易私募 |
多资产策略 |
10-20亿 |
北京 |
27.42% |
86.65% |
62.77% |
46.56% |
3.06% |
484.66% |
4 |
寿宁投资 |
股票策略 |
20-50亿 |
上海 |
33.15% |
60.10% |
51.93% |
21.85% |
20.28% |
374.67% |
5 |
宁波吉睿私募 |
期货及衍生品策略 |
5-10亿 |
宁波 |
20.23% |
49.70% |
85.29% |
25.46% |
11.72% |
367.46% |
6 |
迎水投资 |
股票策略 |
100亿以上 |
上海 |
104.30% |
60.49% |
15.99% |
17.05% |
0.25% |
346.26% |
7 |
前海钰锦投资 |
股票策略 |
5-10亿 |
深圳 |
41.63% |
99.96% |
34.19% |
8.01% |
7.33% |
340.57% |
8 |
积露资产 |
股票策略 |
10-20亿 |
北京 |
29.21% |
70.60% |
50.34% |
17.50% |
9.99% |
328.30% |
9 |
裕恒资本 |
股票策略 |
5-10亿 |
金华 |
35.62% |
49.22% |
40.21% |
26.27% |
13.73% |
307.46% |
10 |
泾溪投资 |
股票策略 |
20-50亿 |
上海 |
69.45% |
95.76% |
11.79% |
4.47% |
3.86% |
302.34% |
11 |
远惟投资 |
股票策略 |
5-10亿 |
北京 |
56.76% |
41.47% |
36.74% |
15.01% |
13.92% |
297.28% |
12 |
睿亿投资 |
股票策略 |
20-50亿 |
上海 |
24.74% |
75.05% |
46.12% |
5.28% |
2.28% |
243.59% |
13 |
上海汇牛私募 |
债券策略 |
5-10亿 |
上海 |
21.53% |
26.26% |
13.26% |
74.66% |
12.42% |
241.24% |
14 |
红土资产 |
债券策略 |
50-100亿 |
上海 |
35.47% |
17.56% |
56.99% |
18.68% |
13.83% |
237.74% |
15 |
高新区智领三联私募 |
股票策略 |
20-50亿 |
福州 |
95.25% |
29.52% |
18.53% |
8.18% |
0.16% |
224.78% |
16 |
东航私募 |
组合基金 |
20-50亿 |
上海 |
21.50% |
91.18% |
23.81% |
7.01% |
2.67% |
216.00% |
17 |
文多资产 |
股票策略 |
10-20亿 |
上海 |
38.25% |
76.13% |
12.02% |
2.08% |
12.13% |
212.23% |
18 |
合易盈通 |
债券策略 |
10-20亿 |
北京 |
8.11% |
18.76% |
67.58% |
33.37% |
8.41% |
211.08% |
19 |
慧创投资 |
股票策略 |
5-10亿 |
杭州 |
37.23% |
35.27% |
34.03% |
6.80% |
15.12% |
205.92% |
20 |
玉数投资 |
股票策略 |
10-20亿 |
上海 |
95.54% |
45.19% |
0.51% |
3.65% |
3.11% |
204.98% |
21 |
殊馥投资 |
多资产策略 |
20-50亿 |
上海 |
8.79% |
27.39% |
36.43% |
52.30% |
5.71% |
204.43% |
22 |
明睿资本 |
期货及衍生品策略 |
10-20亿 |
北京 |
30.65% |
22.71% |
36.35% |
28.06% |
8.65% |
204.12% |
23 |
创奥投资 |
多资产策略 |
10-20亿 |
上海 |
69.33% |
59.56% |
7.96% |
0.98% |
2.68% |
202.43% |
24 |
泰舜资产 |
多资产策略 |
20-50亿 |
北京 |
21.35% |
42.47% |
29.70% |
30.60% |
3.19% |
202.18% |
25 |
维引资本 |
多资产策略 |
10-20亿 |
杭州 |
60.05% |
29.64% |
16.24% |
16.26% |
5.32% |
195.30% |
26 |
泓湖投资 |
多资产策略 |
10-20亿 |
上海 |
39.26% |
43.26% |
38.96% |
1.66% |
3.05% |
190.44% |
27 |
均直资产 |
组合基金 |
5-10亿 |
上海 |
82.57% |
21.80% |
14.45% |
5.69% |
3.94% |
179.60% |
28 |
一村投资 |
股票策略 |
100亿以上 |
上海 |
8.99% |
19.85% |
42.97% |
36.91% |
2.54% |
162.16% |
29 |
湖南格行资产 |
股票策略 |
5-10亿 |
长沙 |
35.29% |
24.63% |
46.07% |
0.75% |
4.21% |
158.62% |
30 |
上海金曼私募 |
债券策略 |
5-10亿 |
上海 |
22.61% |
16.85% |
32.11% |
24.11% |
9.86% |
158.08% |
31 |
思晔投资 |
多资产策略 |
50-100亿 |
上海 |
17.71% |
57.27% |
13.03% |
14.52% |
6.79% |
155.89% |
32 |
汇富联合 |
股票策略 |
5-10亿 |
深圳 |
5.70% |
69.61% |
28.83% |
5.56% |
3.05% |
151.26% |
33 |
宁水资本 |
多资产策略 |
10-20亿 |
厦门 |
32.03% |
42.41% |
19.24% |
5.01% |
6.01% |
149.62% |
34 |
潼骁投资 |
股票策略,债券策略 |
20-50亿 |
上海 |
16.91% |
46.65% |
30.22% |
3.89% |
5.51% |
144.72% |
35 |
仁桥资产 |
股票策略 |
100亿以上 |
北京 |
25.44% |
40.75% |
28.79% |
0.16% |
7.29% |
144.37% |
36 |
霁泽投资 |
多资产策略 |
10-20亿 |
宁波 |
42.45% |
38.35% |
10.61% |
5.26% |
2.77% |
135.81% |
37 |
旌安投资 |
多资产策略 |
100亿以上 |
杭州 |
23.59% |
45.03% |
19.41% |
4.44% |
4.21% |
132.95% |
38 |
同亨投资 |
股票策略 |
5-10亿 |
厦门 |
30.25% |
22.66% |
25.67% |
8.02% |
4.75% |
127.20% |
39 |
杭州波粒二象资管 |
股票策略 |
5-10亿 |
杭州 |
15.42% |
54.32% |
14.34% |
8.93% |
1.80% |
125.84% |
40 |
宁波幻方量化 |
股票策略 |
100亿以上 |
杭州 |
38.28% |
43.66% |
7.53% |
0.40% |
5.16% |
125.52% |
41 |
理石投资 |
股票策略 |
10-20亿 |
上海 |
32.50% |
36.02% |
21.09% |
1.15% |
2.00% |
125.16% |
42 |
宽德私募 |
股票策略 |
100亿以上 |
上海 |
17.10% |
27.85% |
24.67% |
7.08% |
11.79% |
123.42% |
43 |
中金量化 |
期货及衍生品策略 |
10-20亿 |
北京 |
5.46% |
40.01% |
25.46% |
13.14% |
6.58% |
123.39% |
44 |
宝荟投资 |
股票策略 |
5-10亿 |
宁波 |
10.24% |
24.02% |
22.84% |
27.82% |
3.40% |
121.98% |
45 |
平方和投资 |
股票策略 |
50-100亿 |
北京 |
27.09% |
26.56% |
24.06% |
2.79% |
6.62% |
118.68% |
46 |
融升基金 |
多资产策略 |
5-10亿 |
威海 |
25.62% |
16.27% |
15.08% |
15.20% |
7.77% |
108.68% |
47 |
广州翔云私募 |
多资产策略 |
10-20亿 |
广州 |
24.79% |
20.70% |
22.08% |
6.35% |
5.96% |
107.22% |
48 |
坚石资产 |
股票策略 |
5-10亿 |
深圳 |
9.26% |
27.48% |
41.58% |
0.30% |
4.54% |
106.75% |
49 |
朋锦仲阳 |
股票策略 |
50-100亿 |
成都 |
14.70% |
39.96% |
17.66% |
0.11% |
9.08% |
106.26% |
50 |
黑翼资产 |
多资产策略 |
100亿以上 |
上海 |
29.89% |
32.98% |
13.01% |
1.94% |
3.54% |
106.04% |
51 |
毕盛投资 |
股票策略 |
5-10亿 |
上海 |
17.93% |
33.92% |
12.98% |
6.97% |
7.22% |
104.65% |
52 |
钜融资产 |
债券策略 |
20-50亿 |
北京 |
11.68% |
40.20% |
10.71% |
11.91% |
3.85% |
101.45% |
53 |
珠海致诚卓远 |
股票策略 |
100亿以上 |
昆明 |
37.45% |
17.43% |
15.70% |
6.14% |
0.79% |
99.78% |
54 |
上海利可资产 |
债券策略 |
5-10亿 |
上海 |
24.84% |
21.30% |
10.96% |
11.78% |
6.18% |
99.44% |
55 |
子午投资 |
股票策略 |
20-50亿 |
上海 |
31.28% |
4.77% |
25.18% |
11.16% |
3.90% |
98.85% |
56 |
纽富斯投资 |
股票策略 |
10-20亿 |
广州 |
16.95% |
14.72% |
32.81% |
3.17% |
7.21% |
97.09% |
57 |
上海绰瑞私募 |
期货及衍生品策略 |
10-20亿 |
上海 |
13.11% |
29.55% |
16.76% |
9.98% |
4.45% |
96.54% |
58 |
金时(厦门)资产 |
期货及衍生品策略 |
5-10亿 |
厦门 |
6.89% |
38.94% |
19.03% |
3.76% |
6.81% |
95.90% |
59 |
炳富投资 |
股票策略 |
5-10亿 |
上海 |
25.14% |
17.56% |
19.64% |
4.88% |
5.83% |
95.38% |
60 |
上海跃威私募 |
期货及衍生品策略 |
10-20亿 |
上海 |
18.27% |
35.47% |
9.15% |
9.06% |
2.36% |
95.22% |
61 |
润洲投资 |
期货及衍生品策略 |
50-100亿 |
杭州 |
26.72% |
34.26% |
4.52% |
3.22% |
5.47% |
93.59% |
62 |
复熙资产 |
多资产策略 |
50-100亿 |
上海 |
23.32% |
27.40% |
15.40% |
3.39% |
2.24% |
91.66% |
63 |
喜世润投资 |
股票策略 |
20-50亿 |
上海 |
21.08% |
16.95% |
30.72% |
1.38% |
1.84% |
91.11% |
64 |
芷瀚资产 |
期货及衍生品策略 |
5-10亿 |
上海 |
12.59% |
28.55% |
11.81% |
13.12% |
3.86% |
90.13% |
65 |
众壹资产 |
期货及衍生品策略 |
20-50亿 |
上海 |
16.51% |
29.51% |
15.66% |
4.79% |
3.70% |
89.64% |
66 |
甄投资产 |
股票策略 |
20-50亿 |
上海 |
35.39% |
17.05% |
14.43% |
0.20% |
3.28% |
87.66% |
67 |
艮岳私募 |
组合基金 |
10-20亿 |
杭州 |
26.38% |
22.84% |
16.49% |
2.21% |
1.09% |
86.87% |
68 |
雁丰投资 |
股票策略 |
5-10亿 |
上海 |
14.16% |
40.92% |
6.73% |
3.62% |
4.33% |
85.63% |
69 |
开思基金 |
股票策略 |
20-50亿 |
上海 |
23.33% |
22.79% |
16.91% |
1.41% |
2.13% |
83.38% |
70 |
远澜基金 |
期货及衍生品策略 |
10-20亿 |
上海 |
12.43% |
40.29% |
4.87% |
7.35% |
2.06% |
81.22% |
71 |
上海聊塑资产 |
期货及衍生品策略 |
5-10亿 |
上海 |
8.41% |
24.74% |
12.78% |
14.52% |
3.69% |
81.12% |
72 |
思勰投资 |
期货及衍生品策略 |
100亿以上 |
上海 |
15.70% |
26.99% |
13.86% |
6.10% |
0.86% |
79.02% |
73 |
君之健投资 |
股票策略 |
20-50亿 |
东莞 |
14.16% |
7.46% |
4.86% |
16.03% |
18.21% |
76.42% |
74 |
上海甲乙甲私募 |
股票策略 |
5-10亿 |
重庆 |
6.34% |
29.24% |
17.36% |
4.91% |
4.02% |
76.00% |
75 |
泓大私募 |
期货及衍生品策略 |
5-10亿 |
澄迈 |
31.43% |
20.04% |
8.70% |
0.33% |
2.18% |
75.80% |
76 |
航景星和资产 |
期货及衍生品策略 |
5-10亿 |
北京 |
16.90% |
31.72% |
6.79% |
5.94% |
0.49% |
75.05% |
77 |
山东天宝 |
多资产策略 |
20-50亿 |
淄博 |
12.67% |
20.31% |
10.93% |
12.76% |
1.84% |
72.68% |
78 |
金锝资产 |
股票策略 |
100亿以上 |
上海 |
15.65% |
22.67% |
14.83% |
1.29% |
2.90% |
69.81% |
79 |
景富投资 |
股票策略 |
10-20亿 |
上海 |
20.95% |
22.60% |
6.06% |
3.38% |
3.68% |
68.56% |
80 |
博润银泰投资 |
多资产策略 |
100亿以上 |
北京 |
35.39% |
9.91% |
8.08% |
4.09% |
0.62% |
68.46% |
81 |
利位投资 |
债券策略 |
50-100亿 |
上海 |
15.95% |
14.46% |
11.82% |
8.08% |
4.29% |
67.29% |
82 |
伯兄资产 |
股票策略 |
10-20亿 |
上海 |
4.69% |
28.29% |
21.53% |
0.95% |
1.49% |
67.22% |
83 |
皓晨投资 |
期货及衍生品策略,股票策略 |
5-10亿 |
上海 |
19.72% |
24.52% |
10.21% |
1.12% |
0.05% |
66.23% |
84 |
君犀投资 |
债券策略 |
50-100亿 |
上海 |
16.98% |
12.52% |
9.08% |
11.75% |
2.95% |
65.18% |
85 |
珠海宽德 |
股票策略 |
50-100亿 |
珠海 |
6.68% |
19.47% |
20.17% |
0.16% |
6.78% |
63.81% |
86 |
黑玺资产 |
股票策略 |
10-20亿 |
徐州 |
6.05% |
17.83% |
9.91% |
8.63% |
8.56% |
61.96% |
87 |
正瀛资产 |
多资产策略 |
20-50亿 |
上海 |
19.87% |
11.52% |
6.67% |
7.60% |
5.18% |
61.39% |
88 |
广金美好 |
组合基金 |
100亿以上 |
广州 |
8.97% |
18.97% |
15.13% |
5.06% |
2.09% |
60.09% |
89 |
信弘天禾 |
股票策略 |
50-100亿 |
北京 |
10.07% |
16.01% |
14.93% |
4.43% |
2.82% |
57.59% |
90 |
儒忆资产 |
债券策略 |
5-10亿 |
北京 |
20.30% |
9.28% |
8.63% |
5.54% |
3.58% |
56.11% |
91 |
守朴资产 |
债券策略 |
10-20亿 |
上海 |
2.17% |
15.17% |
17.50% |
7.66% |
4.58% |
55.68% |
92 |
华智汇金 |
股票策略 |
5-10亿 |
青岛 |
11.14% |
25.87% |
5.29% |
1.01% |
4.32% |
55.20% |
93 |
弘源泰平 |
期货及衍生品策略 |
5-10亿 |
深圳 |
12.76% |
17.92% |
2.62% |
12.57% |
0.78% |
54.81% |
94 |
致同投资 |
多资产策略 |
10-20亿 |
上海 |
7.87% |
24.22% |
8.74% |
6.04% |
0.19% |
54.78% |
95 |
上汽颀臻 |
债券策略 |
100亿以上 |
上海 |
11.03% |
15.68% |
16.40% |
1.75% |
1.42% |
54.28% |
96 |
御澜资产 |
期货及衍生品策略 |
5-10亿 |
深圳 |
2.52% |
7.27% |
15.97% |
12.69% |
6.54% |
53.11% |
97 |
呈瑞投资 |
股票策略 |
50-100亿 |
上海 |
17.09% |
19.45% |
7.27% |
0.31% |
1.65% |
52.98% |
98 |
量游资产 |
期货及衍生品策略 |
5-10亿 |
上海 |
3.66% |
25.39% |
8.59% |
3.70% |
4.09% |
52.37% |
99 |
汇尊盛元 |
股票策略 |
10-20亿 |
北京 |
14.11% |
17.57% |
7.92% |
1.67% |
2.14% |
50.35% |
100 |
诚奇资产 |
股票策略 |
100亿以上 |
深圳 |
7.94% |
17.52% |
11.58% |
1.65% |
4.31% |
50.08% |
101 |
中邮永安资产 |
组合基金 |
20-50亿 |
杭州 |
10.72% |
14.36% |
7.69% |
4.30% |
5.45% |
49.97% |
102 |
滨海天地 |
期货及衍生品策略 |
10-20亿 |
天津 |
8.40% |
15.35% |
9.14% |
7.44% |
1.64% |
49.02% |
103 |
展弘投资 |
期货及衍生品策略 |
100亿以上 |
上海 |
10.32% |
13.78% |
10.66% |
4.56% |
2.07% |
48.24% |
104 |
量桥投资 |
股票策略 |
20-50亿 |
上海 |
8.72% |
14.32% |
10.66% |
2.55% |
3.80% |
46.40% |
105 |
明毅基金 |
债券策略 |
100亿以上 |
北京 |
9.71% |
9.17% |
6.88% |
9.15% |
4.55% |
46.08% |
106 |
珠池资产 |
组合基金 |
100亿以上 |
上海 |
15.59% |
12.99% |
9.65% |
0.19% |
1.22% |
45.22% |
107 |
桥睿资产 |
股票策略 |
5-10亿 |
杭州 |
13.04% |
12.46% |
4.27% |
0.73% |
7.50% |
43.53% |
108 |
合晟资产 |
债券策略 |
100亿以上 |
上海 |
11.18% |
7.22% |
9.57% |
3.71% |
3.41% |
40.09% |
109 |
南京金伯珠 |
多资产策略 |
5-10亿 |
南京 |
16.72% |
2.71% |
6.14% |
3.69% |
5.73% |
39.49% |
110 |
北京福瑞私募 |
多资产策略 |
10-20亿 |
北京 |
9.25% |
10.98% |
7.08% |
5.24% |
1.42% |
38.56% |
111 |
德裕资产 |
债券策略 |
5-10亿 |
温州 |
9.44% |
3.25% |
1.14% |
16.01% |
3.41% |
37.10% |
112 |
北京丰衍私募 |
多资产策略 |
5-10亿 |
北京 |
8.13% |
12.00% |
6.71% |
3.21% |
0.67% |
34.26% |
113 |
钰升投资 |
股票策略 |
5-10亿 |
广州 |
3.89% |
10.86% |
12.63% |
1.01% |
1.89% |
33.50% |
114 |
上海瞰瞻私募 |
债券策略 |
10-20亿 |
北京 |
6.55% |
4.39% |
7.89% |
6.59% |
3.82% |
32.80% |
115 |
恒基浦业 |
债券策略 |
50-100亿 |
上海 |
7.17% |
6.95% |
5.67% |
5.99% |
3.10% |
32.35% |
116 |
明钺资产 |
组合基金 |
20-50亿 |
佛山 |
6.83% |
10.72% |
6.85% |
0.80% |
1.76% |
29.64% |
(数据来源 私募排排网)
随着时间的推移,这些连续五年正收益的私募不仅为投资者带来了回报,也积累了丰富的经验和信任。这些私募企业以其坚实的业绩和专业的投资能力,成为越来越多投资者的首选。无论市场如何波动,他们始终能够保持冷静,通过深入的研究和严谨的风险控制,为投资者创造了持续的价值。相信在未来的投资领域中,这些连续五年正收益的私募仍将保持其领先地位,为投资者提供更多优质的投资机会。
以上就是2019年以来连续五年正收益私募有哪些(2023最新汇总表)相关介绍,更多私募相关信息可访问私募排排网。
本页面所涉私募基金内容仅对合格投资者展示!因擅自转载、引用等行为导致非合格投资者获取本文信息的,由转载方自行承担法律责任和可能产生的一切风险。
本页内容不构成任何投资建议,相关数据及信息来自基金管理人、托管估值机构、外部数据库,并可能援引内外部榜单、其他专业人士/或机构撰写制作的相关研究成果或观点,我司对所载资料的真实性、准确性、时效性及完整性不作任何实质性判断,对所涉产品/机构/人员不作任何明示或暗示的预测、保证,亦不承担任何形式的责任。
版权声明:未经许可,任何个人或机构不得进行任何形式的修改或将其用于商业用途。转载、引用、翻译、二次创作(包括但不限于以影音等其他形式展现作品内容)或以任何商业目的进行使用的,必须取得作者许可并注明作品来源为私募排排网,同时载明内容域名出处