本页展示2.28万多只场外基金信息,更新时间:2025-03-27

基金类型基金代码基金名称最新净值更新日期日涨幅%近1周%近1月%近3月%近6月%近1年%近2年%近3年%近5年%今年来%成立以来%
混合型010447中邮未来成长混合A1.25912025-03-270.10-2.58-2.439.1023.8434.2624.0040.9825.9111.9825.91
混合型010374西部利得聚兴一年定开混合C1.12242025-03-270.100.141.494.8411.3514.7913.9113.9112.244.9412.24
混合型009612兴全汇享一年持有混合C1.12462025-03-270.100.03-0.061.368.238.335.163.6712.461.3912.46
指数型004743易方达上证中盘ETF联接C2.01492025-03-270.10-0.74-0.50-2.058.9216.207.679.3750.12-0.7162.57
股票型004743易方达上证中盘ETF联接C2.01492025-03-270.10-0.74-0.50-2.058.9216.207.679.3750.12-0.7162.57
债券型000406汇添富双利增强债券A1.08792025-03-270.10-0.020.641.392.435.153.514.465.741.7762.04
混合型970185招商资管核心优势混合C0.95842025-03-270.10-2.46-3.131.508.882.04-13.49-4.16-4.162.94-4.16
混合型700003平安策略先锋混合4.87802025-03-270.10-4.01-7.393.5924.2819.21-9.31-8.50115.557.99433.74
混合型519175浦银经济带崛起混合A1.12602025-03-270.10-0.50-1.061.194.536.76-3.71-9.703.281.8315.13
债券型LOF164105华富强债LOF1.58832025-03-270.10-0.34-1.032.886.998.285.427.9525.943.47152.79
债券型164105华富强化回报债券(LOF)1.58832025-03-270.10-0.34-1.032.886.998.285.427.9525.943.47152.79
债券型022175富国宝利增强债券E1.33102025-03-270.10-0.40-0.470.636.088.628.628.628.620.938.62
混合型018455建信开元耀享9个月持有期混合发起1.08402025-03-270.10-0.030.591.335.787.418.408.408.401.538.40
指数型018370华夏创业板指数增强A1.06792025-03-270.10-2.07-3.76-1.6313.8717.646.796.796.791.236.79
指数型017019博时中证农业主题指数发起式A0.80622025-03-270.101.874.670.263.430.19-18.96-19.38-19.382.27-19.38
债券型014671富国裕利债券A1.11802025-03-270.10-0.040.031.264.817.387.6411.5511.801.4611.80
指数型013276富国中证全指证券公司指数(LOF)C1.04602025-03-270.10-1.97-2.97-8.177.3928.8219.9517.662.25-5.002.25
0132451.02732025-03-250.100.550.051.071.982.742.683.222.730.732.73
债券型012789汇添富双享回报债券A1.07302025-03-270.10-0.30-0.741.683.937.438.728.997.301.767.30
混合型012594招商瑞享1年持有期混合A1.07832025-03-270.10-0.22-0.491.227.4410.168.6811.5410.861.4210.86
混合型011118汇添富稳健睿选一年持有混合A1.16172025-03-270.100.030.111.523.837.609.3713.2716.171.5916.17
混合型010948中欧嘉选混合C0.67022025-03-270.10-2.20-1.665.3619.5716.11-10.89-20.32-32.988.06-32.98
债券型470088汇添富6月红定期开放债券A1.02972025-03-270.100.180.180.533.936.056.937.4519.420.5672.23
指数型023322华宝中证800红利低波动ETF联接C1.00202025-03-270.100.590.200.200.200.200.200.200.200.200.20
股票型023322华宝中证800红利低波动ETF联接C1.00202025-03-270.100.590.200.200.200.200.200.200.200.200.20
混合型022259鹏华弘盛混合E1.01112025-03-270.10-0.34-0.49-0.281.111.111.111.111.11-0.011.11
债券型020263平安鑫惠90天持有债券C1.03322025-03-270.100.190.570.671.532.953.323.323.320.603.32
混合型019130天弘多元锐选一年持有混合A1.07792025-03-270.10-0.060.630.215.077.677.797.797.790.367.79
债券型014775招商安本增利债券A1.67912025-03-270.10-0.150.421.007.9810.7310.1514.0310.291.8110.29
混合型012879中信建投量化精选6个月持有混合C0.78822025-03-270.10-0.84-0.010.336.5310.27-2.29-6.11-21.181.49-21.18
混合型012524国联高质量成长混合C0.67982025-03-270.10-4.37-8.43-2.591.54-1.56-17.56-25.26-32.02-0.96-32.02
混合型008715景顺长城价值驱动一年持有混合1.47602025-03-270.10-0.013.584.602.5412.5429.7749.4547.604.5047.60
混合型008712景顺长城品质成长混合A1.20602025-03-270.10-1.353.885.766.2311.10-2.130.8521.885.8120.60
债券型007516融通增润三个月定开债1.12572025-03-270.100.280.35-0.011.213.106.999.6915.74-0.1119.17
混合型005939工银新能源汽车混合A2.58212025-03-270.10-3.10-4.453.6315.2116.60-10.56-29.75103.224.61158.21
混合型000127农银行业领先混合2.43322025-03-270.100.320.67-3.06-1.901.19-10.32-18.301.29-2.93185.60
0203110.98532025-03-260.10-3.14-6.81-2.89-2.33-1.47-1.47-1.47-1.47-0.68-1.47
混合型015182汇添富逆向投资混合D3.15502025-03-270.10-0.912.074.682.4012.92-5.79-10.11-12.654.47-12.65
债券型014399中银民利一年持有期债券A1.07602025-03-270.10-0.05-0.200.752.395.217.668.017.600.827.60
债券型013149鹏华双债加利债券C1.07712025-03-270.10-0.55-0.561.5410.1113.6310.8910.937.712.747.71
混合型012945南方宝裕混合A1.10452025-03-270.100.150.450.252.395.397.6710.5510.450.1710.45
混合型011819鹏扬景阳一年持有混合C1.06462025-03-270.10-0.060.460.523.977.604.436.886.460.656.46
混合型011528博时恒悦6个月持有混合C1.09432025-03-270.10-0.300.240.994.618.502.263.449.431.319.43
债券型003133易方达裕鑫债券A1.55242025-03-270.10-0.77-0.703.3514.9216.1411.0414.6135.074.2464.32
债券型003039广发集富纯债A1.02902025-03-270.100.290.380.193.516.569.8212.1517.250.1052.20
混合型002272新华科技创新主题灵活配置混合0.92222025-03-270.10-4.50-11.24-9.0015.784.96-37.95-45.296.37-5.01-7.78
混合型017022中银招盈一年持有混合C1.03422024-11-210.100.030.161.101.033.293.423.423.423.593.42
债券型LOF164814工银双债LOF1.02702025-03-270.10-0.68-1.822.607.6510.315.884.3316.343.1197.61
债券型164814工银双债增强债券1.02702025-03-270.10-0.68-1.822.607.6510.315.884.3316.343.1197.61
混合型020193天弘金融优选混合发起A1.25262025-03-270.10-1.092.372.6012.6725.2625.2625.2625.261.9525.26
混合型019131天弘多元锐选一年持有混合C1.07072025-03-270.10-0.070.610.114.797.177.077.077.070.267.07
债券型017503达诚致益债券发起式A1.02112025-03-270.10-0.26-0.53-0.740.000.962.112.112.11-0.512.11
混合型016844红土创新稳益6个月持有期混合A1.09142025-03-270.10-0.030.670.341.354.229.139.149.140.289.14
混合型011692华安研究智选混合A0.60632025-03-270.10-3.42-5.99-4.11-5.03-2.59-20.44-23.74-39.37-3.65-39.37
混合型011664华安研究驱动混合C0.62082025-03-270.10-3.45-6.00-4.02-4.89-2.73-21.00-24.65-37.92-3.56-37.92
混合型010448中邮未来成长混合C1.24702025-03-270.10-2.59-2.459.0323.6733.9123.4239.9924.7011.9224.70
混合型009741博时研究臻选持有期混合C1.04892025-03-270.10-0.996.479.457.407.547.720.804.899.604.89
混合型009740博时研究臻选持有期混合A1.07412025-03-270.10-0.986.509.597.678.088.812.337.419.747.41
混合型006399宝盈祥颐定期开放混合C1.08782025-03-270.10-0.030.430.391.754.111.94-3.660.460.518.78
混合型004225国寿安保稳诚混合A1.09682025-03-270.10-0.38-0.730.134.488.066.027.1731.331.0251.66
混合型001275中邮创新优势灵活配置混合0.99702025-03-270.10-2.25-7.69-1.199.2014.86-5.50-8.3620.561.53-0.30
混合型001227中邮信息产业灵活配置混合A1.05102025-03-270.10-1.96-1.318.2439.9540.3214.1212.0526.6312.055.10
混合型001071华安媒体互联网混合A3.09702025-03-270.10-2.73-3.460.1622.1224.03-1.4315.5260.632.11209.70
债券型470089汇添富6月红定期开放债券C1.00872025-03-270.100.180.160.433.725.626.186.1717.150.4663.94
混合型023713国联安主题驱动混合C2.68562025-03-270.10-0.70-0.89-0.89-0.89-0.89-0.89-0.89-0.89-0.89-0.89
混合型022551平安瑞利6个月持有混合C1.01872025-03-270.10-0.100.411.881.871.871.871.871.871.901.87
债券型015723长城久悦债券C1.05252025-03-270.10-0.73-1.603.1314.788.13-5.17-4.07-4.074.51-4.07
债券型015267中邮睿泽一年持有债券C1.03292025-03-270.10-0.66-2.50-0.741.274.803.013.293.29-0.373.29
混合型013189嘉实稳健添利一年持有混合1.02532025-03-270.10-0.20-0.40-0.031.141.571.734.732.53-0.182.53
混合型010610摩根远见两年持有期混合0.82242025-03-270.10-3.34-0.9912.5523.7628.1210.27-9.44-17.7614.03-17.76
混合型009157海富通富泽混合C1.11142025-03-270.10-0.580.341.694.686.185.224.8011.141.9811.14
债券型007834长盛稳怡添利债券C1.14972025-03-270.10-0.46-1.281.627.699.828.097.1319.322.2719.67
债券型006650招商安庆债券1.28602025-03-270.10-0.160.45-0.021.483.897.115.1119.030.2328.60
债券型003135金元顺安沣楹债券1.09102025-03-270.10-0.07-0.610.062.531.721.780.569.770.6026.03
债券型003134易方达裕鑫债券C1.54482025-03-270.10-0.77-0.713.3014.8115.9110.6013.9433.754.2062.04
混合型001415中信保诚新锐混合A1.04402025-03-270.10-0.10-0.19-0.191.752.45-1.88-4.4816.690.0017.39
指数型022331鑫元中证800红利低波动指数C1.00672025-03-270.100.541.150.640.670.670.670.670.670.630.67
股票型022331鑫元中证800红利低波动指数C1.00672025-03-270.100.541.150.640.670.670.670.670.670.630.67
指数型017020博时中证农业主题指数发起式C0.80072025-03-270.101.864.650.193.28-0.11-19.44-19.93-19.932.20-19.93
债券型016162天弘永利优享债券C1.08142025-03-270.100.030.380.322.147.687.298.148.140.388.14
0151561.06532025-03-260.100.05-0.62-0.261.572.735.576.546.53-0.316.53
混合型013166东兴宸祥量化混合A1.11522025-03-270.10-0.821.307.1124.5321.831.9413.4411.5210.2711.52
混合型010373西部利得聚兴一年定开混合A1.14022025-03-270.100.141.514.9411.5715.2414.8415.3014.025.0414.02
债券型009610天弘永利债券C1.10362025-03-270.100.150.340.203.475.505.659.0730.350.3130.35
混合型004648南方安睿混合A1.12682025-03-270.100.190.180.513.806.025.349.2028.760.5246.98
混合型004275浦银安恒回报定开混合C0.90542025-03-270.10-0.81-1.350.503.102.14-4.14-6.088.521.0218.72
混合型004226国寿安保稳诚混合C1.09042025-03-270.10-0.38-0.740.104.427.965.816.8630.691.0050.45
混合型001815华泰柏瑞激励动力混合A1.92902025-03-270.10-2.87-7.66-0.5212.6118.13-7.30-13.0722.011.26140.17
混合型001442易方达瑞信混合E1.57462025-03-270.100.360.79-0.402.055.478.9712.0727.46-0.5963.92
债券型000407汇添富双利增强债券C1.06402025-03-270.10-0.030.611.292.254.762.703.193.641.6758.40
债券型110027易方达安心回报债券A2.02632025-03-270.090.170.030.195.047.797.347.9026.010.11283.00
混合型020923汇泉智享量化选股混合C1.12632025-03-270.09-0.212.50-0.165.0312.6312.6312.6312.63-0.4912.63
混合型019950中银价值发现混合发起C1.06572025-03-270.09-0.821.745.936.296.576.576.576.576.196.57
混合型018983国泰君安新材料混合发起A0.93632025-03-270.09-0.270.191.3110.986.96-6.37-6.37-6.372.41-6.37
混合型018456建信开元耀享9个月持有期混合发起1.07692025-03-270.09-0.040.561.225.566.977.697.697.691.427.69
混合型018198交银稳进丰利六个月持有期混合A0.98722025-03-270.090.300.27-0.541.891.98-1.28-1.28-1.28-0.24-1.28
混合型012878中信建投量化精选6个月持有混合A0.79982025-03-270.09-0.840.010.436.7310.70-1.51-4.99-20.021.59-20.02
混合型012530永赢惠添盈一年持有混合0.86492025-03-270.09-2.37-4.415.404.3415.044.80-9.47-13.516.36-13.51
债券型001946东方红信用债债券C1.16262025-03-270.090.17-0.501.728.098.215.376.9317.611.9744.21
混合型000706中邮多策略灵活配置混合1.07902025-03-270.09-1.64-2.09-2.625.68-1.15-23.98-26.531.80-1.2853.18
混合型000508宏利宏达混合B1.13402025-03-270.09-0.44-0.091.985.885.982.52-0.5413.122.0765.77
债券型610108信澳信用债债券C1.11302025-03-270.09-1.150.005.8021.2419.164.5811.2032.217.1271.61
债券型019176汇添富添添乐双鑫债券A1.03922025-03-270.090.250.160.622.513.923.923.923.920.543.92
债券型018736景顺长城景颐裕利债券A1.05612025-03-270.090.090.100.462.304.365.615.615.610.455.61
债券型015372中加聚享增盈债券C1.04752025-03-270.090.120.22-0.591.271.513.508.738.73-0.528.73
混合型011801中银证券盈瑞混合A0.86082025-03-270.09-0.25-0.15-1.521.764.06-9.34-11.41-13.92-1.69-13.92
混合型010943招商瑞乐6个月持有期混合C1.07962025-03-270.09-0.17-0.420.647.9010.716.238.477.960.937.96
混合型010480汇添富稳进双盈一年持有混合1.00832025-03-270.090.400.491.422.897.455.336.390.831.220.83
债券型003504景顺长城景颐丰利债券A1.21792025-03-270.09-0.84-1.581.049.8819.337.5911.1011.311.8728.03
债券型003109光大安和债券A1.09492025-03-270.090.020.531.131.091.993.396.3010.741.2341.65
混合型001756嘉实策略优选混合1.14102025-03-270.09-0.17-0.700.183.735.456.049.1737.800.4469.27
混合型519929长信电子信息量化灵活配置混合A1.08602025-03-270.09-1.45-4.906.2635.5842.718.71-5.3213.727.958.60
基金中的基金501219智胜先锋LOF1.21912025-03-270.09-1.630.812.0117.4616.346.6231.5221.914.3721.91
股票型LOF501219智胜先锋LOF1.21912025-03-270.09-1.630.812.0117.4616.346.6231.5221.914.3721.91
0163391.08162025-03-260.090.200.230.210.892.946.178.168.160.128.16
混合型009428鹏扬景沣六个月持有期混合A1.15532025-03-270.09-0.100.490.514.238.194.817.4615.530.6515.53
债券型009089嘉实稳固收益债券A1.16802025-03-270.09-0.17-0.430.302.414.324.706.9022.460.5622.57
混合型008848国联智选对冲3个月定开混合0.95982025-03-270.090.320.900.73-0.92-2.61-9.00-8.55-4.020.57-4.02
债券型006254长城久悦债券A1.06312025-03-270.09-0.72-1.563.2215.008.56-4.42-5.452.924.626.31
混合型000822东海美丽中国A1.22882025-03-270.091.671.664.6212.5318.950.80-4.6722.394.5822.88
混合型000520上银新兴价值成长混合1.05502025-03-270.090.000.76-0.386.579.553.535.9151.420.38234.22
混合型673040西部利得行业主题优选混合A1.30182025-03-270.090.08-0.77-2.181.143.730.17-5.6841.00-1.7179.50
债券型261001景顺长城稳定收益债券A1.14702025-03-270.090.090.003.5212.0116.688.6211.1817.963.5259.44
混合型202212南方平衡配置混合2.23392025-03-270.09-0.76-4.938.0131.1124.64-1.26-8.7026.2810.90149.18
指数型022144银华中证高股息策略ETF发起式联接0.97162025-03-270.091.113.23-2.71-2.84-2.84-2.84-2.84-2.84-3.49-2.84
债券型018884建信开元惠享6个月持有期债券发起1.02862025-03-270.09-0.15-0.76-0.231.472.452.862.862.860.162.86
债券型018323人保民富债券C1.00982025-03-270.09-0.30-0.71-2.17-0.151.700.980.980.98-1.850.98
债券型016699易方达丰和债券C1.39092025-03-270.090.160.22-0.193.405.704.886.236.23-0.386.23
混合型015775景顺长城品质成长混合C1.16042025-03-270.09-1.363.845.653.667.76-5.412.082.085.702.08
债券型014400中银民利一年持有期债券C1.06282025-03-270.09-0.07-0.240.642.184.796.796.716.280.726.28
债券型013548招商享利增强债券A1.04532025-03-270.09-0.100.100.936.698.475.107.324.531.004.53
混合型011690招商品质发现混合A0.81832025-03-270.09-1.761.856.4812.7021.863.79-0.29-18.176.37-18.17
混合型010942招商瑞乐6个月持有期混合A1.09582025-03-270.09-0.15-0.380.748.1111.167.109.799.581.039.58
混合型010230南方宝昌混合A1.06872025-03-270.09-0.240.000.054.8110.087.568.656.870.126.87
混合型009576东方红智远三年持有混合0.91032025-03-270.09-0.901.831.39-0.355.30-16.33-17.22-8.972.27-8.97
债券型002969易方达丰和债券A1.40502025-03-270.090.160.26-0.093.616.125.737.2721.81-0.2851.86
混合型019949中银价值发现混合发起A1.06802025-03-270.09-0.811.775.996.486.806.806.806.806.256.80
混合型018199交银稳进丰利六个月持有期混合C0.97682025-03-270.090.300.23-0.691.591.37-2.32-2.32-2.32-0.39-2.32
混合型017886国富安颐稳健6个月持有期混合A1.07852025-03-270.090.200.580.953.977.257.857.857.850.957.85
混合型017211国富焦点驱动混合C2.06582025-03-270.09-0.07-0.30-0.152.033.795.906.256.25-0.266.25
混合型015842国投瑞银专精特新量化选股混合A1.01712025-03-270.09-2.19-1.5410.0840.0433.862.801.711.7113.481.71
混合型015572国投瑞银瑞源灵活配置混合C3.09522025-03-270.09-0.530.07-0.882.835.270.661.111.11-0.051.11
混合型014818国金新兴价值混合A0.85752025-03-270.09-3.23-5.224.1417.1314.04-10.59-13.88-14.256.46-14.25
债券型013549招商享利增强债券C1.03152025-03-270.09-0.110.060.826.468.024.266.033.150.893.15
混合型012946南方宝裕混合C1.08422025-03-270.090.140.410.092.084.766.388.568.420.038.42
混合型007119睿远成长价值混合A1.24532025-03-270.09-2.43-2.283.719.2315.97-15.19-21.514.424.1924.53
混合型005080海富通量化多因子混合C1.26382025-03-270.09-1.00-0.100.556.2610.37-4.13-4.9132.541.1847.76
指数型016866华泰紫金中证500指数增强发起C1.00262025-03-270.09-1.150.432.6014.7518.931.260.260.264.890.26
混合型015206招商安裕灵活配置混合D1.81122025-03-270.09-0.310.340.927.5110.266.6411.217.991.147.99
混合型013695弘毅远方久盈混合C0.98742025-03-270.090.080.33-0.140.552.160.18-1.26-1.260.00-1.26
混合型012377长盛安睿一年持有混合A1.07972025-03-270.090.020.932.185.009.077.227.747.972.137.97
债券型005461南方希元转债1.49962025-03-270.09-1.25-1.646.2714.0714.82-1.82-1.3025.937.1349.96
债券型004451汇添富双鑫添利债券A1.16942025-03-270.09-0.08-0.151.704.237.679.4710.7427.011.6049.25
股票型519034海富通中证500增强A1.76402025-03-270.09-0.660.362.6414.1215.39-6.58-9.5833.194.9376.40
股票型501219华夏智胜先锋股票(LOF)A1.21912025-03-270.09-1.630.812.0117.4616.346.6231.5221.914.3721.91
股票型161027富国中证全指证券公司指数(LOF)A1.05402025-03-270.09-1.95-2.95-8.117.5529.0120.5918.4319.31-4.96-33.32
股票型022145银华中证高股息策略ETF发起式联接0.97082025-03-270.091.113.21-2.77-2.92-2.92-2.92-2.92-2.92-3.55-2.92
股票型022144银华中证高股息策略ETF发起式联接0.97162025-03-270.091.113.23-2.71-2.84-2.84-2.84-2.84-2.84-3.49-2.84
股票型016866华泰紫金中证500指数增强发起C1.00262025-03-270.09-1.150.432.6014.7518.931.260.260.264.890.26
股票型016865华泰紫金中证500指数增强发起A1.01112025-03-270.09-1.140.472.7014.9919.422.081.111.114.991.11
股票型015172摩根安全战略股票C1.00062025-03-270.09-2.24-1.16-2.00-2.38-9.70-22.66-37.90-41.00-1.43-41.00
股票型014198华夏智胜先锋股票C1.20332025-03-270.09-1.630.791.9117.2215.885.7829.9620.334.2720.33
股票型008113中泰中证500指数增强C1.27842025-03-270.09-1.62-1.360.4611.7213.69-6.21-4.9924.693.2027.84
股票型002907南方中证500量化增强C1.03102025-03-270.09-0.570.782.6310.3010.27-10.11-15.2812.553.853.10
股票型002906南方中证500量化增强A1.06022025-03-270.09-0.560.822.7210.5210.67-9.38-14.2914.863.956.02
股票型000893工银创新动力股票1.15202025-03-270.090.000.52-2.124.6312.9411.4125.0889.16-0.6915.20
债券型450019国富恒久信用债券C1.23362025-03-270.09-0.14-0.450.563.735.066.609.0912.670.5662.06
混合型023542平安恒泽混合E1.05222025-03-270.09-0.370.800.800.800.800.800.800.800.800.80
混合型023081南方致远混合E1.41062025-03-270.090.130.410.930.930.930.930.930.930.930.93
债券型020325南方佳元6个月持有债券E1.11882025-03-270.090.140.340.302.395.337.997.997.990.217.99
混合型019699招商安泽稳利9个月持有期混合C1.11462025-03-270.09-0.400.613.046.259.3311.4611.4611.463.6111.46
混合型018984国泰君安新材料混合发起C0.93062025-03-270.09-0.280.151.2110.766.52-6.94-6.94-6.942.30-6.94
混合型018347富安达智优量化选股混合型发起式A1.03472025-03-270.09-1.27-1.38-1.5610.1612.813.473.473.47-0.673.47
债券型017556招商安凯债券1.02972025-03-270.09-0.02-0.050.523.778.4814.9414.4514.450.5614.45
混合型010813华安添益一年持有混合A1.00392025-03-270.090.11-0.93-0.255.217.754.802.040.390.040.39
混合型009064鹏扬景沃六个月持有期混合A1.13892025-03-270.09-0.120.460.543.967.744.817.5913.650.6513.89
混合型008834银华汇盈一年持有期混合C1.09682025-03-270.090.150.400.592.463.654.533.909.640.739.68
混合型008213华夏新起点混合C1.11602025-03-270.090.000.000.002.674.40-21.63-40.80-11.78-0.09-5.90
指数型008113中泰中证500指数增强C1.27842025-03-270.09-1.62-1.360.4611.7213.69-6.21-4.9924.693.2027.84
0052211.27192025-03-250.090.240.201.311.783.003.413.5225.891.2127.19
混合型002658招商安裕灵活配置混合C1.71752025-03-270.09-0.320.300.777.199.605.379.2242.321.0071.75
债券型720003财通收益增强债券A1.47802025-03-270.09-0.57-1.752.3210.1213.119.007.9853.833.9594.96
混合型019698招商安泽稳利9个月持有期混合A1.12082025-03-270.09-0.390.653.146.479.7712.0812.0812.083.7112.08
债券型017045达诚腾益债券A1.11182025-03-270.09-0.13-0.05-0.401.154.8111.1811.1811.18-0.3711.18
混合型010073方正富邦策略精选C0.93082025-03-270.09-0.251.011.779.6516.20-0.56-2.02-6.922.59-6.92
混合型005877易方达鑫转增利混合C2.02342025-03-270.09-0.58-0.921.237.697.82-0.742.0875.411.79102.34
债券型002711广发集丰债券A1.17142025-03-270.090.130.271.448.147.465.7010.4727.681.4948.39
指数型519034海富通中证500增强A1.76402025-03-270.09-0.660.362.6414.1215.39-6.58-9.5833.194.9376.40
债券型023512景顺长城景颐丰利债券F1.21782025-03-270.09-0.85-1.59-2.02-2.02-2.02-2.02-2.02-2.02-2.02-2.02
0194751.03752025-03-250.090.120.640.183.123.834.824.824.820.204.82
混合型019223大成一带一路灵活配置混合C1.86762025-03-270.09-4.11-7.85-1.927.774.51-0.92-0.92-0.92-1.60-0.92
混合型018282山证资管创新成长混合发起式C1.16862025-03-270.09-1.67-1.571.7917.9022.8316.8616.8616.863.2616.86
混合型015843国投瑞银专精特新量化选股混合C1.00782025-03-270.09-2.20-1.579.9739.7633.321.970.780.7813.360.78
债券型015266中邮睿泽一年持有债券A1.04502025-03-270.09-0.67-2.47-0.651.475.223.844.504.50-0.284.50
混合型014945蜂巢润和六个月持有期混合C1.08102025-03-270.090.260.090.996.458.2210.488.108.100.648.10
混合型012702安信民安回报一年持有混合C1.18502025-03-270.09-0.080.640.882.709.8111.2514.6418.500.8118.50
混合型007811淳厚信泽混合A2.00302025-03-270.09-1.600.038.2414.4028.0716.5924.7687.768.70100.30
混合型005260银华稳健增利灵活配置混合A1.55872025-03-270.09-1.12-0.261.9315.5914.900.150.5959.313.8955.85
混合型001441易方达瑞信混合I1.59842025-03-270.090.360.81-0.352.205.649.4012.7228.75-0.5466.35
混合型000507宏利宏达混合A1.15102025-03-270.09-0.43-0.092.046.086.383.140.3214.842.2273.30
混合型022001浙商汇金红利机遇混合C1.00922025-03-270.090.360.930.870.920.920.920.920.920.870.92
指数型019002华夏中证智选500价值稳健策略ETF1.08612025-03-270.090.181.700.047.9311.348.618.618.611.408.61
股票型019002华夏中证智选500价值稳健策略ETF1.08612025-03-270.090.181.700.047.9311.348.618.618.611.408.61
0162331.03192025-03-250.090.120.620.112.953.503.713.193.190.143.19
债券型015539富国元利债券A1.04362025-03-270.09-0.030.110.291.822.942.794.364.360.244.36
债券型015371中加聚享增盈债券A1.05992025-03-270.090.120.25-0.491.441.894.319.989.98-0.429.98
混合型011691招商品质发现混合C0.79472025-03-270.09-1.781.816.2912.2020.812.07-2.73-20.536.19-20.53
混合型011527博时恒悦6个月持有混合A1.11202025-03-270.09-0.300.261.084.818.923.084.6911.201.4011.20
混合型010947中欧嘉选混合A0.69222025-03-270.09-2.19-1.615.5720.0517.02-9.47-18.39-30.788.24-30.78
混合型008488华商恒益稳健混合1.09792025-03-270.09-0.803.296.5912.6618.318.7727.7097.537.7694.29
混合型007812淳厚信泽混合C1.94972025-03-270.09-1.61-0.018.1114.1827.5015.4922.9783.608.5794.97
混合型006878天治量化核心精选混合C0.55072025-03-270.09-3.59-11.96-3.6618.400.33-32.87-41.50-38.160.47-33.29
混合型006398宝盈祥颐定期开放混合A1.11432025-03-270.09-0.030.470.491.944.512.76-2.492.500.6011.43
混合型003501宏利睿智稳健混合A1.05462025-03-270.09-0.17-1.290.758.299.60-7.444.7489.712.1375.58
指数型002907南方中证500量化增强C1.03102025-03-270.09-0.570.782.6310.3010.27-10.11-15.2812.553.853.10
混合型002319大成一带一路灵活配置混合A1.88152025-03-270.09-4.10-7.78-1.778.024.99-16.00-1.4951.61-1.47102.38
债券型000298中海纯债债券A1.15202025-03-270.090.260.260.000.872.875.957.4610.740.0041.46
债券型410004华富收益增强债券A1.44952025-03-270.09-0.01-0.701.444.266.055.638.4021.531.73213.38
混合型022550平安瑞利6个月持有混合A1.01922025-03-270.09-0.090.431.931.921.921.921.921.921.951.92
债券型021424易方达悦丰稳健债券C1.02522025-03-270.090.240.11-0.142.432.522.522.522.52-0.292.52
指数型016865华泰紫金中证500指数增强发起A1.01112025-03-270.09-1.140.472.7014.9919.422.081.111.114.991.11
0160801.08812025-03-260.090.21-0.24-0.090.973.046.578.818.81-0.248.81
混合型010814华安添益一年持有混合C0.98382025-03-270.090.10-0.96-0.364.957.233.770.53-1.62-0.08-1.62
混合型010426国投瑞银开放视角精选混合C0.69842025-03-270.09-2.34-1.683.8510.2322.29-4.33-1.68-30.165.90-30.16
混合型007072民生加银鑫福混合C1.13402025-03-270.090.714.614.2313.2910.10-0.26-3.1611.504.1313.40
债券型004452汇添富双鑫添利债券C1.12532025-03-270.09-0.09-0.181.614.107.338.699.5224.591.5144.68
债券型003204财通收益增强债券C1.40342025-03-270.09-0.58-1.782.229.9112.668.136.6950.773.8576.48
混合型001428工银瑞信灵活配置混合B1.12802016-10-130.090.00-0.09-0.622.553.390.000.000.002.553.77
债券型610008信澳信用债债券A1.12202025-03-270.09-1.150.095.8521.4319.495.0011.9133.417.1678.05
混合型400015东方新能源汽车混合2.10302025-03-270.09-2.63-3.746.9018.9516.16-23.75-40.7974.518.32180.41
混合型121010国投瑞银瑞源灵活配置混合A3.13142025-03-270.09-0.520.11-0.783.045.691.472.9184.250.05295.00
指数型020685南方上证科创板新材料ETF发起联接1.18202025-03-270.09-2.30-3.425.5028.8624.5318.2018.2018.209.2118.20
股票型020685南方上证科创板新材料ETF发起联接1.18202025-03-270.09-2.30-3.425.5028.8624.5318.2018.2018.209.2118.20
0163381.08862025-03-260.090.210.250.271.013.196.708.868.860.188.86
0160790.85292025-03-250.090.34-0.081.4012.156.49-13.48-14.71-14.711.88-14.71
混合型013694弘毅远方久盈混合A0.99242025-03-270.090.080.34-0.090.612.330.53-0.76-0.760.04-0.76
混合型008833银华汇盈一年持有期混合A1.11902025-03-270.090.150.430.682.654.055.365.1511.860.8211.89
混合型005261银华稳健增利灵活配置混合C1.52172025-03-270.09-1.12-0.281.8515.3914.45-0.61-0.5356.443.8152.17
债券型004651长信利丰债券E1.09702025-03-270.09-0.270.180.462.243.69-0.181.1412.510.6425.41
债券型003110光大安和债券C1.07432025-03-270.090.010.511.050.941.692.785.349.151.1638.33
指数型002906南方中证500量化增强A1.06022025-03-270.09-0.560.822.7210.5210.67-9.38-14.2914.863.956.02
混合型001641富国绝对收益多策略混合A1.16102025-03-270.09-0.34-0.17-1.36-1.28-3.09-8.37-9.37-6.30-1.3616.10
混合型001428工银瑞信灵活配置混合B1.12802016-10-130.090.00-0.09-0.622.553.390.000.000.002.553.77
债券型022534景顺长城稳定收益债券F1.14602025-03-270.090.170.093.437.617.617.617.617.613.437.61
0203401.05392025-03-250.090.090.500.854.014.806.816.816.810.806.81
混合型020194天弘金融优选混合发起C1.25302025-03-270.09-1.102.342.4912.8125.3025.3025.3025.301.8525.30
0198330.86092025-03-250.090.34-0.061.4712.326.82-1.49-1.49-1.491.94-1.49
债券型018278博时稳健增利债券C1.05812025-03-270.090.10-0.020.053.415.345.815.815.81-0.045.81
混合型018072长信均衡优选混合C1.05422025-03-270.09-2.40-3.813.9510.0217.255.425.425.425.575.42
债券型016851中欧颐利债券C1.06812025-03-270.090.210.771.053.735.966.806.816.810.976.81
混合型016676南方君誉混合A0.99452025-03-270.09-0.940.232.185.208.05-1.42-0.55-0.553.02-0.55
混合型014879华安价值驱动一年持有混合C0.70532025-03-270.09-3.50-5.99-3.73-3.92-1.51-20.11-28.58-29.47-3.25-29.47
混合型011799华安宁享6个月混合C0.95072025-03-270.090.28-0.26-1.640.671.57-2.27-2.65-4.93-1.76-4.93
混合型009819嘉实鑫福一年持有期混合0.90392025-03-270.09-0.96-2.54-3.42-1.06-1.31-7.89-9.61-9.61-2.76-9.61
混合型008547博道安远6个月持有期混合1.24242025-03-270.09-0.30-0.320.954.976.761.834.8227.461.3124.24
混合型007120睿远成长价值混合C1.21582025-03-270.09-2.43-2.313.609.0215.52-15.86-22.442.364.1021.58
债券型161902万家增强收益债券1.11422025-03-270.090.050.30-0.32-0.031.662.3011.9211.130.11220.09
混合型020358东方红慧鑫甄选6个月持有混合A1.04862025-03-270.090.000.010.793.264.864.864.864.860.694.86
债券型019418中欧磐固债券C1.08942025-03-270.09-0.21-0.060.934.496.108.948.948.940.988.94
0187111.05002025-03-250.090.080.470.773.844.485.005.005.000.725.00
债券型016850中欧颐利债券A1.07812025-03-270.090.220.801.153.936.377.657.817.811.077.81
0135100.91382025-03-250.09-0.47-0.170.1011.559.37-5.17-8.62-8.620.43-8.62
混合型013153长信电子信息量化灵活配置混合C1.07002025-03-270.09-1.47-4.976.1535.2741.917.75-6.55-29.567.75-29.56
混合型012701安信民安回报一年持有混合A1.18702025-03-270.09-0.070.640.882.839.9811.4214.8318.700.8218.70
混合型012378长盛安睿一年持有混合C1.06812025-03-270.090.010.912.094.848.756.596.776.812.056.81
混合型004274浦银安恒回报定开混合A0.91302025-03-270.09-0.81-1.330.583.272.49-3.47-5.0910.441.0921.58
混合型002082华泰柏瑞激励动力混合C2.11802025-03-270.09-2.89-7.67-0.5612.4817.86-7.67-13.6220.751.19161.40
债券型000123汇添富实业债债券C1.39692025-03-270.090.03-0.581.868.839.4713.0215.6419.602.2178.87
债券型852089海通鑫诚六个月持有A1.03792025-03-270.09-0.150.191.645.224.881.923.643.591.603.59
混合型470098汇添富逆向投资混合A3.19302025-03-270.09-0.902.114.792.6013.39-5.06-9.0655.984.59347.28
债券型217008招商安本增利债券C1.66292025-03-270.09-0.160.400.927.8210.409.4913.0025.991.74205.01
股票型LOF161038成长LOF1.16702025-03-270.09-1.49-1.121.4910.7512.31-9.25-18.2217.893.5316.69
混合型161038富国新兴成长量化精选混合(LOF)A1.16702025-03-270.09-1.49-1.121.4910.7512.31-9.25-18.2217.893.5316.69
股票型LOF161027证券LOF1.05402025-03-270.09-1.95-2.95-8.117.5529.0120.5918.4319.31-4.96-33.32
指数型161027富国中证全指证券公司指数(LOF)A1.05402025-03-270.09-1.95-2.95-8.117.5529.0120.5918.4319.31-4.96-33.32
指数型022145银华中证高股息策略ETF发起式联接0.97082025-03-270.091.113.21-2.77-2.92-2.92-2.92-2.92-2.92-3.55-2.92
债券型015175申万菱信稳益宝债券C1.09202025-03-270.090.280.18-0.091.302.534.941.96-1.29-0.18-1.29
债券型014848宏利闽利一年定开债券发起式1.01462025-03-270.090.290.20-0.121.293.057.078.878.87-0.218.87
混合型013985融通稳健增利6个月持有混合A0.95572025-03-270.09-0.34-1.97-4.00-3.76-4.89-5.47-3.63-4.43-3.70-4.43
混合型012435万家招瑞回报一年持有混合A1.02782025-03-270.09-0.11-0.301.175.247.025.804.912.781.552.78
混合型012366摩根安荣回报混合A1.06802025-03-270.09-0.57-0.750.102.647.353.596.406.800.256.80
债券型005271安信恒利增强债券A1.10022025-03-270.090.020.05-1.131.423.500.72-2.912.74-0.9210.02
债券型005078富国宝利增强债券A1.33132025-03-270.09-0.41-0.480.636.119.087.838.0223.430.9337.43
混合型002657招商安裕灵活配置混合A1.81142025-03-270.09-0.310.340.927.5110.266.6511.2246.641.1481.14
债券型852099海通鑫诚六个月持有C1.02572025-03-270.09-0.160.171.535.024.461.112.432.381.502.38
混合型070013嘉实研究精选混合1.14802025-03-270.09-1.96-5.59-2.96-0.09-5.20-25.79-41.16-23.25-1.03201.50
债券型018885建信开元惠享6个月持有期债券发起1.02312025-03-270.09-0.16-0.80-0.331.272.042.312.312.310.062.31
混合型016677南方君誉混合C0.98052025-03-270.09-0.950.182.034.897.40-2.58-1.95-1.952.89-1.95
债券型015625平安添润债券A1.11192025-03-270.090.050.461.333.265.4010.4911.1911.191.2611.19
混合型013661华安研究领航混合A0.68152025-03-270.09-3.44-5.92-3.78-4.23-1.74-19.79-22.30-31.85-3.32-31.85
混合型012436万家招瑞回报一年持有混合C1.01312025-03-270.09-0.11-0.321.075.046.594.953.651.311.461.31
混合型009149富国绝对收益多策略混合C1.11602025-03-270.09-0.27-0.27-1.50-1.59-3.88-9.78-11.50-9.93-1.50-9.42
债券型005991长信利丰债券A1.07602025-03-270.09-0.190.280.562.573.960.282.0213.710.7517.74
混合型003125中科沃土沃鑫成长精选混合A1.28152025-03-270.09-0.47-0.46-2.830.546.03-0.930.7734.19-1.9028.15
债券型002712广发集丰债券C1.15412025-03-270.090.120.241.327.876.904.608.8724.681.3843.19
股票型001070建信信息产业股票A2.33902025-03-270.09-3.27-5.193.2715.2210.38-14.45-20.5855.526.56133.90
混合型000030长城核心优选混合A1.04692025-03-270.09-0.73-0.41-1.114.575.99-9.39-20.39-10.99-0.7693.81
混合型040035华安逆向策略混合A5.03602025-03-270.08-3.30-5.44-4.06-5.03-2.80-20.28-22.2041.34-3.60614.13
混合型021016长江旭日混合C1.21832025-03-270.08-1.330.305.4816.7221.8321.8321.8321.835.3721.83
混合型019034易方达高端制造混合发起式C1.69362025-03-270.08-0.58-1.591.463.059.9412.7412.7412.741.9012.74
指数型018062华泰紫金中证1000指数增强发起A1.10382025-03-270.08-1.970.416.3327.0529.1710.3810.3810.389.1410.38
指数型017896汇添富中证800指数增强A1.10322025-03-270.08-0.940.200.267.5215.3910.3210.3210.321.5710.32
债券型016474交银稳固收益债券C1.31172025-03-270.080.291.060.917.419.183.361.041.041.011.04
混合型014354东方欣冉九个月持有期混合A0.93312025-03-270.08-0.11-0.05-0.960.710.89-5.02-6.69-6.69-0.45-6.69
指数型012927民生加银中证500指数增强C0.75712025-03-270.08-0.950.772.2813.809.38-10.99-11.94-24.294.57-24.29
混合型011802中银证券盈瑞混合C0.85052025-03-270.08-0.27-0.18-1.611.603.72-9.91-12.24-14.95-1.77-14.95
0116051.01182025-03-260.08-0.240.100.762.532.592.372.871.180.571.18
混合型010891交银鸿福六个月持有混合C1.03582025-03-270.08-0.270.402.233.675.763.524.213.582.353.58
混合型010882南方宝顺混合C1.00062025-03-270.080.220.350.052.135.892.361.310.060.020.06
混合型009902易方达悦享一年持有混合A1.11212025-03-270.080.040.080.483.804.224.675.0011.210.4211.21
指数型008112中泰中证500指数增强A1.30582025-03-270.08-1.61-1.330.5611.9414.14-5.45-3.8427.203.3030.58
混合型007734南方智锐混合C1.12442025-03-270.08-1.353.366.257.3913.760.37-10.2413.146.4617.42
混合型005081海富通量化多因子混合A1.30402025-03-270.08-0.99-0.020.786.7111.21-2.61-2.6337.831.4052.25
债券型003505景顺长城景颐丰利债券C1.19302025-03-270.08-0.86-1.620.939.6618.886.749.779.641.7725.41
债券型000107富国稳健增强债券A/B1.29802025-03-270.080.000.460.393.845.794.368.6319.110.6290.74
债券型519989长信利丰债券C1.31602025-03-270.08-0.230.230.532.333.54-0.450.7911.470.69151.51
混合型023049南方宝顺混合E1.02502025-03-270.080.220.400.730.730.730.730.730.730.730.73
混合型021015长江旭日混合A1.22142025-03-270.08-1.320.325.5816.9522.1422.1422.1422.145.4722.14
债券型018954富国收益增强债券E1.31302025-03-270.08-0.53-0.53-0.531.636.40-7.60-7.60-7.600.46-7.60
债券型018737景顺长城景颐裕利债券C1.04982025-03-270.080.070.070.342.033.894.984.984.980.344.98
混合型014914博时研究回报混合C1.16432025-03-270.08-0.657.3610.489.6610.2311.1515.3616.4310.1316.43
混合型013769博时稳益9个月持有混合A1.10842025-03-270.080.220.29-0.243.577.8810.3311.9710.84-0.4310.84
混合型012812国富鑫颐收益混合A1.05572025-03-270.080.050.600.343.447.324.336.115.570.285.57
债券型012397南方佳元6个月持有债券A1.11992025-03-270.080.140.340.302.405.417.6010.5711.990.2111.99
混合型012025兴业聚兴混合A1.05702025-03-270.080.12-0.05-0.022.424.106.467.275.700.095.70
混合型011693华安研究智选混合C0.59322025-03-270.08-3.45-6.04-4.26-5.32-3.17-21.39-25.10-40.68-3.80-40.68
混合型010881南方宝顺混合A1.02502025-03-270.080.220.390.202.446.533.603.152.500.172.50
混合型010606创金合信鑫祥混合C1.18672025-03-270.08-0.090.811.584.817.008.1715.0718.671.6818.67
QDII型009975华宝标普美国消费人民币C2.60102025-03-270.083.54-3.67-11.112.208.6943.3120.3145.06-9.1245.06
混合型009049易方达高端制造混合发起式A1.70622025-03-270.08-0.57-1.551.593.3910.56-4.38-3.4670.142.0370.62
混合型007733南方智锐混合A1.16282025-03-270.08-1.343.406.397.7214.461.59-8.6016.606.6021.39
QDII型002423华宝标普美国消费美元0.37002025-03-270.083.50-3.70-10.860.007.8438.328.3597.86-8.89140.10
债券型450006国富强化收益债券C1.06342025-03-270.08-0.11-0.16-0.172.254.604.445.9415.18-0.25111.60
混合型200012长城中小盘成长混合A1.82972025-03-270.08-1.31-1.3110.8017.6421.37-14.07-23.2111.6711.79123.19
债券型023615银华远景债券D1.19102025-03-270.08-0.080.510.510.510.510.510.510.510.510.51
指数型021810富国创业板增强策略ETF发起式联接1.26782025-03-270.08-1.99-2.690.1214.3326.7826.7826.7826.782.7926.78
股票型021810富国创业板增强策略ETF发起式联接1.26782025-03-270.08-1.99-2.690.1214.3326.7826.7826.7826.782.7926.78
债券型017046达诚腾益债券C1.10242025-03-270.08-0.14-0.08-0.500.954.4210.2410.2410.24-0.4510.24
0162451.04512025-03-260.08-0.69-0.650.024.535.324.774.514.510.184.51
混合型014362睿远稳进配置两年持有混合A1.08612025-03-270.08-0.540.303.476.3814.6214.4816.738.613.478.61
混合型012913方正富邦趋势领航混合A0.84512025-03-270.08-0.211.261.718.0114.20-2.91-5.46-15.492.59-15.49
混合型011064南方誉享一年持有期混合A1.06772025-03-270.080.270.21-0.082.466.835.726.396.77-0.226.77
混合型009938东方欣益一年持有期混合C0.86052025-03-270.080.03-0.080.273.13-0.45-6.77-6.21-9.720.43-9.72
混合型008967博时成长优选灵活配置混合C0.71602025-03-270.08-2.95-7.18-3.56-0.800.06-28.56-36.09-10.40-1.35-11.42
债券型005579光大晟利债券A1.27212025-03-270.08-1.07-2.202.9112.8414.036.559.8819.033.8627.21
混合型004946汇添富盈润混合A1.42482025-03-270.08-0.18-1.510.041.764.053.614.1219.580.2046.93
混合型002213中海顺鑫灵活配置混合1.30512025-03-270.08-0.420.08-2.74-2.57-6.54-29.95-35.14-4.52-2.3334.82
混合型002059国泰浓益灵活配置混合C2.51302025-03-270.080.201.540.124.978.836.306.2335.020.16178.86
债券型000207建信双债增强债券A1.21402025-03-270.08-0.33-0.741.932.433.526.118.0217.812.1049.55
股票型018063华泰紫金中证1000指数增强发起C1.09592025-03-270.08-1.980.386.2326.8028.679.599.599.599.049.59
股票型018062华泰紫金中证1000指数增强发起A1.10382025-03-270.08-1.970.416.3327.0529.1710.3810.3810.389.1410.38
股票型017931富达传承6个月股票A1.09932025-03-270.08-3.79-2.636.5313.0623.789.969.969.968.429.96
股票型017897汇添富中证800指数增强C1.09522025-03-270.08-0.940.160.167.3114.939.529.529.521.489.52
股票型017896汇添富中证800指数增强A1.10322025-03-270.08-0.940.200.267.5215.3910.3210.3210.321.5710.32
股票型012927民生加银中证500指数增强C0.75712025-03-270.08-0.950.772.2813.809.38-10.99-11.94-24.294.57-24.29
股票型012926民生加银中证500指数增强A0.76542025-03-270.08-0.960.802.3713.979.72-10.45-11.14-23.464.65-23.46
股票型009004海富通中证500增强C1.74202025-03-270.08-0.670.352.5713.9715.11-7.04-10.2631.554.8614.55
股票型008112中泰中证500指数增强A1.30582025-03-270.08-1.61-1.330.5611.9414.14-5.45-3.8427.203.3030.58
混合型022346东海美丽中国C1.22802025-03-270.081.661.654.598.318.318.318.318.314.568.31
债券型021137广发集享债券C1.00542025-03-270.08-0.40-0.90-1.02-0.270.540.540.540.54-1.000.54
混合型018934长盛互联网+混合C1.68022025-03-270.08-5.22-7.737.5535.2731.277.097.097.0911.297.09
债券型015490申万菱信稳鑫30天滚动持有短债债1.05092025-03-270.080.321.691.651.992.453.935.095.091.645.09
0152411.05722025-03-260.080.36-0.060.372.414.154.395.725.720.145.72
混合型014440博时恒鑫稳健一年持有混合A1.04572025-03-270.080.140.630.433.855.924.665.414.570.434.57
债券型008936中银产业债债券C1.15802025-03-270.08-0.16-0.171.516.049.618.4911.2224.831.7820.92
债券型005656光大安泽债券A1.17942025-03-270.08-1.09-2.141.286.526.915.399.9017.261.8731.97
债券型002901财通资管积极收益债券A1.23012025-03-270.080.51-0.28-1.034.353.481.844.6711.54-0.9534.10
债券型018277博时稳健增利债券A1.06452025-03-270.080.100.010.123.575.696.456.456.450.046.45
债券型016671博时恒耀债券C0.96592025-03-270.080.131.880.850.971.75-3.36-3.41-3.410.99-3.41
债券型016004广发集远债券C1.06702025-03-270.08-0.060.461.593.507.525.776.706.701.516.70
混合型013021建信兴润一年持有混合0.63412025-03-270.08-4.57-6.701.215.444.64-18.20-27.93-36.592.82-36.59
债券型012399南方永元一年持有债券A1.04892025-03-270.080.190.14-0.021.835.665.987.254.89-0.154.89
混合型011774国寿安保璟珹6个月持有混合C1.04242025-03-270.08-0.280.183.275.887.041.541.964.243.554.24
混合型010890交银鸿福六个月持有混合A1.04002025-03-270.08-0.270.412.253.735.863.734.524.002.384.00
混合型009006创金合信鑫祺混合C1.24102025-03-270.080.120.890.175.579.457.4717.5145.040.5745.72
股票型007675工银产业升级股票C1.03282025-03-270.08-3.37-3.963.22-2.6910.46-22.02-31.674.704.333.28
债券型002474中邮睿信增强债1.25102025-03-270.08-0.56-0.951.469.4512.8014.2519.4126.942.1255.12
混合型002085长盛互联网+混合A1.71532025-03-270.08-5.21-7.697.7035.6532.05-4.1213.5269.5011.4371.53
债券型000208建信双债增强债券C1.20702025-03-270.08-0.41-0.741.772.463.405.516.9515.761.9443.33
债券型000182景顺长城四季金利债券C1.21302025-03-270.080.250.000.503.685.949.5412.9617.150.5063.48
债券型450005国富强化收益债券A1.06592025-03-270.08-0.11-0.14-0.102.384.895.046.8616.89-0.17127.32
债券型023702银华可转债债券D1.38102025-03-270.08-1.89-2.77-2.77-2.77-2.77-2.77-2.77-2.77-2.77-2.77
债券型021685兴证全球丰德债券C1.03042025-03-270.08-0.020.761.592.563.043.043.043.041.603.04
0208590.99922025-03-250.08-0.11-0.570.763.59-0.01-0.08-0.08-0.080.88-0.08
混合型017966华富竞争力优选混合C0.98262025-03-270.08-3.20-5.073.7927.1822.34-14.59-11.82-11.827.38-11.82
0160811.08092025-03-260.080.20-0.26-0.160.852.786.038.098.09-0.308.09
混合型015729朱雀碳中和三年持有混合发起0.84612025-03-270.08-0.27-2.345.1214.8810.50-8.63-15.39-15.395.96-15.39
混合型014913博时研究回报混合A1.18432025-03-270.08-0.657.4410.669.9710.7812.3717.3418.4310.3118.43
指数型012708东方红中证红利低波动指数A1.29792025-03-270.080.891.88-2.466.2816.9332.6343.5339.81-2.5139.81
股票型012708东方红中证红利低波动指数A1.29792025-03-270.080.891.88-2.466.2816.9332.6343.5339.81-2.5139.81
混合型011787工银聚安混合C1.16482025-03-270.08-1.103.794.9714.7018.6918.2825.1016.484.3716.48
混合型011746南方誉浦一年持有混合A1.04302025-03-270.080.240.32-0.032.566.824.615.104.30-0.074.30
债券型005771银华可转债债券A1.38082025-03-270.08-1.90-2.885.2814.7816.22-8.51-9.2814.187.3238.07
债券型002972前海开源鼎安债券C1.27002025-03-270.080.080.40-0.241.934.18-0.24-1.6314.62-0.3927.00
债券型002492工银月月薪定期支付债券C1.20202025-03-270.080.000.17-0.170.084.432.210.755.35-0.0820.20
债券型410005华富收益增强债券B1.43472025-03-270.08-0.03-0.731.344.055.624.787.1019.111.64192.70
混合型410001华富竞争力优选混合A0.99302025-03-270.08-3.19-5.033.9427.5723.02-13.66-13.9117.437.53368.89
债券型180015银华增强收益债券A1.23102025-03-270.08-0.16-0.321.627.1410.386.688.7420.511.95128.17
指数型020686南方上证科创板新材料ETF发起联接1.17832025-03-270.08-2.30-3.445.4128.6624.1517.8317.8317.839.1317.83
股票型020686南方上证科创板新材料ETF发起联接1.17832025-03-270.08-2.30-3.445.4128.6624.1517.8317.8317.839.1317.83
混合型019350中信保诚瑞丰6个月混合C1.04882025-03-270.080.25-0.44-0.931.623.814.884.884.88-0.864.88
0183181.01352025-03-260.08-2.120.001.447.107.801.351.351.352.021.35
混合型016545交银稳进回报六个月持有期混合A1.00462025-03-270.08-0.16-0.08-0.091.722.320.500.460.46-0.210.46
混合型014878华安价值驱动一年持有混合A0.71622025-03-270.08-3.50-5.96-3.62-3.70-1.02-19.31-27.50-28.38-3.14-28.38
混合型013638华安逆向策略混合C4.93402025-03-270.08-3.31-5.48-4.21-5.32-3.39-21.23-23.59-33.48-3.73-33.48
混合型011747南方誉浦一年持有混合C1.01882025-03-270.080.240.28-0.182.256.183.373.221.88-0.221.88
混合型009568浙商智多宝稳健一年持有期A1.05382025-03-270.08-0.020.390.192.535.231.243.417.180.287.18
混合型009429鹏扬景沣六个月持有期混合C1.13392025-03-270.08-0.110.450.414.017.743.966.1613.390.5513.39
混合型004448博时汇智回报灵活配置混合2.06372025-03-270.08-2.39-5.45-6.0611.464.24-6.66-6.8320.00-4.88106.37
债券型400016东方强化收益债券1.29032025-03-270.080.03-0.120.592.583.892.583.5110.990.6564.44
混合型020695海富通红利优选混合A1.16232025-03-270.08-0.602.812.109.9216.2316.2316.2316.232.4116.23
混合型020359东方红慧鑫甄选6个月持有混合C1.04572025-03-270.08-0.01-0.020.713.104.574.574.574.570.614.57
债券型016670博时恒耀债券A0.97392025-03-270.080.141.890.921.142.10-2.70-2.61-2.611.07-2.61
混合型015981光大高端装备混合C0.77532025-03-270.08-3.94-8.381.5611.0112.80-13.70-22.47-22.474.05-22.47
0136521.00432025-03-250.080.270.190.362.493.841.000.430.430.110.43
混合型012844工银瑞信恒兴6个月持有混合A0.73752025-03-270.08-3.06-3.321.0415.2018.93-3.52-14.61-26.251.92-26.25
混合型011348易方达宁易一年持有混合C1.06102025-03-270.080.050.38-0.501.183.694.696.146.10-0.546.10
债券型010270汇安嘉盈一年持有期债券C0.89662025-03-270.08-0.16-0.680.272.07-0.33-6.48-11.13-10.340.75-10.34
债券型005657光大安泽债券C1.15032025-03-270.08-1.09-2.161.196.316.494.568.5914.961.7828.53
股票型LOF161222国投瑞利LOF2.36082025-03-270.08-0.500.13-0.732.294.69-1.80-1.9666.720.11143.57
混合型161222国投瑞银瑞利混合(LOF)A2.36082025-03-270.08-0.500.13-0.732.294.69-1.80-1.9666.720.11143.57
指数型021750易方达创业板成长ETF联接发起式C1.01892025-03-270.08-2.70-4.961.881.891.891.891.891.893.121.89
股票型021750易方达创业板成长ETF联接发起式C1.01892025-03-270.08-2.70-4.961.881.891.891.891.891.893.121.89
混合型019349中信保诚瑞丰6个月混合A1.05442025-03-270.080.26-0.41-0.831.824.235.445.445.44-0.765.44
股票型018650光大保德信国企改革股票C1.29502025-03-270.08-3.14-6.77-3.862.534.27-9.63-9.63-9.63-2.26-9.63
混合型018404富安达智优量化选股混合型发起式C1.02692025-03-270.08-1.28-1.41-1.679.9312.362.692.692.69-0.762.69
混合型016042华安稳健回报混合C1.31612025-03-270.08-0.10-0.59-0.272.214.183.431.541.54-0.051.54
混合型015722长城中小盘成长混合C2.20132025-03-270.08-1.32-1.3410.6717.3620.78-14.93-19.07-19.0711.66-19.07
0146651.02192025-03-260.080.22-0.100.182.813.191.833.562.190.272.19
混合型012813国富鑫颐收益混合C1.04602025-03-270.080.040.590.273.286.993.695.164.600.214.60
混合型009821嘉实浦惠6个月持有期混合C1.08002025-03-270.080.03-0.36-0.240.941.592.423.138.00-0.218.00
指数型006682景顺长城中证500指数增强A1.40012025-03-270.08-1.34-0.481.7713.5816.16-0.86-4.7647.944.3140.01
股票型006682景顺长城中证500指数增强A1.40012025-03-270.08-1.34-0.481.7713.5816.16-0.86-4.7647.944.3140.01
混合型006548红塔红土盛弘混合C0.99862025-03-270.08-0.71-0.154.2814.4922.42-4.04-10.4738.496.1754.50
混合型005729南方人工智能混合2.22872025-03-270.08-3.26-7.38-0.9615.6120.67-7.023.6044.471.57122.87
混合型003044东方红战略精选混合A1.38522025-03-270.080.12-0.381.054.576.856.626.7617.871.1945.17
混合型001182易方达安心回馈混合A2.38302025-03-270.08-0.250.081.193.884.663.47-1.4132.981.32138.30
混合型003300华夏圆和混合A0.87582024-12-040.080.69-0.8834.229.90-11.41-27.61-24.78-12.09-10.893.75
债券型021960建信双债增强债券F1.26702025-03-270.08-0.39-0.781.852.432.592.592.592.592.012.59
债券型016580万家双利债券C1.22262025-03-270.080.24-0.45-2.170.821.49-0.57-3.02-3.02-2.00-3.02
混合型013993中欧光熠一年持有混合A0.99042025-03-270.08-2.36-1.765.3117.6925.89-2.010.30-0.966.35-0.96
混合型013770博时稳益9个月持有混合C1.09722025-03-270.080.210.27-0.323.417.569.6710.969.72-0.519.72
指数型012926民生加银中证500指数增强A0.76542025-03-270.08-0.960.802.3713.979.72-10.45-11.14-23.464.65-23.46
混合型012466嘉实策略精选混合A0.48642025-03-270.08-4.06-6.03-2.91-2.89-7.23-39.37-39.37-51.36-0.63-51.36
债券型012400南方永元一年持有债券C1.03472025-03-270.080.190.12-0.121.645.245.145.973.47-0.243.47
混合型012257安信丰穗一年持有混合C1.12242025-03-270.08-0.070.580.983.028.418.8813.0812.240.9312.24
0116060.99742025-03-260.08-0.240.070.662.332.181.551.64-0.260.47-0.26
混合型011469国富竞争优势三年持有期混合C1.06712025-03-270.08-0.961.155.996.5928.8818.1328.576.715.976.71
债券型006162财通资管积极收益债券E1.19752025-03-270.080.51-0.28-1.054.293.381.634.3610.99-0.9820.93
债券型006102浙商丰利增强债券1.65972025-03-270.08-0.410.390.445.213.47-8.82-6.0549.120.9665.97
混合型003300华夏圆和混合A0.87582024-12-040.080.69-0.8834.229.90-11.41-27.61-24.78-12.09-10.893.75
债券型002971前海开源鼎安债券A1.30502025-03-270.080.080.38-0.152.114.570.54-0.4616.73-0.3130.50
债券型110028易方达安心回报债券B1.97722025-03-270.080.160.000.094.827.356.466.5923.450.01264.84
债券型015540富国元利债券C1.03192025-03-270.08-0.030.070.181.622.521.973.193.190.153.19
债券型015489申万菱信稳鑫30天滚动持有短债债1.05732025-03-270.080.321.711.702.092.654.355.735.731.695.73
0152421.04822025-03-260.080.36-0.080.302.253.843.764.824.820.074.82
混合型011773国寿安保璟珹6个月持有混合A1.05822025-03-270.08-0.270.223.376.107.462.363.205.823.645.82
混合型010347农银策略收益一年持有混合0.62742025-03-270.080.400.66-3.07-1.351.92-9.60-17.90-37.26-2.94-37.26
混合型009426鹏扬景惠六个月持有期混合A1.15542025-03-270.08-0.090.550.634.048.094.327.8715.540.7315.54
指数型009004海富通中证500增强C1.74202025-03-270.08-0.670.352.5713.9715.11-7.04-10.2631.554.8614.55
混合型008819农银汇理策略趋势混合0.94282025-03-270.080.420.67-3.03-1.321.79-9.55-17.39-5.76-2.91-5.72
债券型002600易方达裕景添利6个月定开债1.22302025-03-270.080.160.250.583.635.589.339.8117.510.6652.61
指数型021811富国创业板增强策略ETF发起式联接1.26952025-03-270.08-1.99-2.680.1714.4326.9526.9526.9526.952.8426.95
股票型021811富国创业板增强策略ETF发起式联接1.26952025-03-270.08-1.99-2.680.1714.4326.9526.9526.9526.952.8426.95
混合型020922汇泉智享量化选股混合A1.13102025-03-270.08-0.202.55-0.025.3313.1013.1013.1013.10-0.3613.10
0173311.04252025-03-260.08-0.70-0.640.054.605.455.046.336.330.216.33
债券型016652汇丰晋信慧嘉债券C1.01622025-03-270.08-0.03-0.44-1.49-0.940.562.001.621.62-0.961.62
混合型015652国投瑞银瑞利混合(LOF)C2.32092025-03-270.08-0.510.09-0.881.974.08-2.97-0.86-0.86-0.03-0.86
混合型012541金鹰产业升级混合A0.52392025-03-270.08-4.71-7.048.5814.1615.55-17.86-36.61-47.6111.59-47.61
混合型012467嘉实策略精选混合C0.47342025-03-270.08-4.07-6.07-3.09-3.27-7.97-40.33-40.80-52.66-0.82-52.66
混合型012051申万菱信乐道三年持有期混合0.94972025-03-270.08-5.81-10.92-1.5728.4125.87-2.87-0.72-5.030.24-5.03
混合型010934国寿安保稳福6个月持有期混合A1.03792025-03-270.08-0.23-0.93-1.114.328.397.104.213.79-1.093.79
混合型010605创金合信鑫祥混合A1.20842025-03-270.08-0.080.831.685.037.429.0716.4920.841.7820.84
混合型009937东方欣益一年持有期混合A0.88052025-03-270.080.05-0.050.403.380.06-5.84-4.79-7.630.56-7.63
混合型008209南方宝泰一年混合A1.17092025-03-270.08-0.010.270.132.484.863.214.6317.730.0817.09
0052221.24192025-03-250.080.230.181.241.642.702.792.5423.951.1424.19
混合型005015泰康景泰回报混合C1.66592025-03-270.080.090.820.072.494.466.9715.0249.410.3366.59
混合型004228泰信鑫利混合C1.18142025-03-270.080.480.410.792.734.588.265.5810.700.6920.38
混合型003283中信保诚至裕混合C1.26912025-03-270.080.310.710.481.972.361.103.5021.470.3726.91
债券型002501银华远景债券A1.19002025-03-270.08-0.080.421.715.408.584.666.6417.402.1540.31
债券型000745北信瑞丰稳定收益C1.27502025-03-270.080.240.310.081.113.329.4412.8315.49-0.0861.99
债券型180025银华信用双利债券A1.17802025-03-270.08-0.250.000.433.065.561.032.5212.220.6886.70
债券型023189平安添润债券E1.11142025-03-270.080.050.432.242.242.242.242.242.242.242.24
债券型022227鹏华丰瑞债券D1.01382025-03-270.080.280.25-0.481.381.381.381.381.38-0.531.38
混合型015980光大高端装备混合A0.77712025-03-270.08-3.92-8.331.7111.1413.20-13.02-22.29-22.294.21-22.29
债券型015626平安添润债券C1.10412025-03-270.080.050.441.243.245.209.8310.4110.411.1610.41
混合型011521鹏扬景源一年持有混合A1.06172025-03-270.08-0.110.480.554.197.755.237.546.170.666.17
混合型009065鹏扬景沃六个月持有期混合C1.11622025-03-270.08-0.130.430.443.767.313.986.3011.400.5511.62
混合型008966博时成长优选灵活配置混合A0.73392025-03-270.08-2.95-7.15-3.43-0.490.67-27.69-34.92-7.65-1.22-8.69
债券型005272安信恒利增强债券C1.07802025-03-270.080.010.03-1.201.283.200.12-3.781.21-0.987.80
混合型003878富国久利稳健配置混合C1.19012025-03-270.08-1.90-0.2013.2232.8138.0130.1629.6234.8715.2847.30
混合型003161南方安泰混合A1.15172025-03-270.080.190.380.072.565.716.608.7228.62-0.0257.19
混合型003045东方红战略精选混合C1.33772025-03-270.080.11-0.410.954.356.425.775.4815.531.1040.23
混合型000994建信睿盈灵活配置混合A1.31902025-03-270.08-2.80-3.863.295.278.38-1.27-6.1924.205.1031.90
债券型000181景顺长城四季金利债券A1.23302025-03-270.080.240.080.573.886.2910.4014.3219.620.5770.94
混合型000072华安稳健回报混合A1.33052025-03-270.08-0.09-0.56-0.172.424.594.264.3018.630.04133.80
债券型163827中银产业债债券A1.18282025-03-270.08-0.15-0.151.616.2410.049.3612.5727.311.8765.28
债券型023513银华增强收益债券D1.23102025-03-270.08-0.16-0.32-0.40-0.40-0.40-0.40-0.40-0.40-0.40-0.40
混合型019370富国久利稳健配置混合E1.19472025-03-270.08-1.90-0.2013.2232.8138.0130.4730.4730.4715.2830.47
0183191.00632025-03-260.08-2.13-0.021.346.887.370.630.630.631.930.63
混合型016594易方达安心回馈混合C2.35802025-03-270.08-0.250.041.073.654.202.61-3.99-3.991.20-3.99
0156390.92672025-03-250.08-0.09-0.43-1.004.490.75-7.75-7.33-7.33-0.72-7.33
混合型014441博时恒鑫稳健一年持有混合C1.03242025-03-270.080.140.590.333.645.483.814.143.240.333.24
混合型014363睿远稳进配置两年持有混合C1.07542025-03-270.08-0.550.293.396.2214.2713.8015.687.543.407.54
混合型012026兴业聚兴混合C1.04592025-03-270.080.11-0.08-0.102.263.785.816.304.590.014.59
混合型011065南方誉享一年持有期混合C1.05082025-03-270.080.270.17-0.192.256.404.875.115.08-0.335.08
混合型008210南方宝泰一年混合C1.13462025-03-270.08-0.020.23-0.022.184.241.982.7614.25-0.0613.46
债券型007315汇安嘉盈一年持有期债券A0.91162025-03-270.08-0.15-0.650.362.280.05-5.73-10.05-8.840.84-8.84
混合型006324合煦智远嘉选混合C1.19912025-03-270.08-1.12-0.121.702.117.94-2.50-8.1766.901.4283.27
混合型003877富国久利稳健配置混合A1.19492025-03-270.08-1.89-0.2013.2332.8138.0330.3530.3636.7215.2951.22
混合型002061国泰安康定期支付混合C3.53902025-03-270.08-0.030.650.173.427.705.303.1826.300.20186.33
混合型001720工银新增利混合1.22702025-03-270.08-0.160.160.161.245.594.165.7820.130.3340.91
混合型340001兴全可转债混合1.08952025-03-270.08-0.52-1.170.957.6010.350.53-0.5323.221.491010.49
QDII-LOF162415美国消费LOF2.65502025-03-270.083.51-3.66-11.032.359.0844.4521.96101.59-9.04165.50
QDII型162415华宝标普美国消费人民币A2.65502025-03-270.083.51-3.66-11.032.359.0844.4521.96101.59-9.04165.50
混合型022000浙商汇金红利机遇混合A1.01112025-03-270.080.370.960.991.111.111.111.111.110.981.11
债券型021423易方达悦丰稳健债券A1.02722025-03-270.080.240.13-0.062.612.722.722.722.72-0.212.72
债券型021136广发集享债券A1.00782025-03-270.08-0.39-0.87-0.95-0.120.780.780.780.78-0.930.78
混合型019274长城核心优选混合C1.03792025-03-270.08-0.75-0.46-1.274.295.42-1.82-1.82-1.82-0.90-1.82
债券型019177汇添富添添乐双鑫债券C1.03602025-03-270.080.230.140.522.333.603.603.603.600.453.60
指数型018063华泰紫金中证1000指数增强发起C1.09592025-03-270.08-1.980.386.2326.8028.679.599.599.599.049.59
指数型017897汇添富中证800指数增强C1.09522025-03-270.08-0.940.160.167.3114.939.529.529.521.489.52
债券型015979安信恒鑫增强债券C1.05862025-03-270.08-0.020.500.230.804.816.415.865.860.165.86
混合型013916国联成长先锋一年持有混合A0.74342025-03-270.08-4.41-8.03-1.844.382.12-15.67-25.66-25.66-0.42-25.66
0136511.01572025-03-250.080.280.220.452.694.251.811.571.570.201.57
混合型012845工银瑞信恒兴6个月持有混合C0.72172025-03-270.08-3.08-3.360.8914.8718.23-4.66-16.14-27.831.78-27.83
指数型012709东方红中证红利低波动指数C1.29212025-03-270.080.891.85-2.556.0816.4731.5941.8538.03-2.6038.03
股票型012709东方红中证红利低波动指数C1.29212025-03-270.080.891.85-2.556.0816.4731.5941.8538.03-2.6038.03
债券型012205中银通利债券C1.04492025-03-270.08-0.18-0.522.193.206.147.517.734.492.384.49
债券型012204中银通利债券A1.06102025-03-270.08-0.17-0.492.293.446.608.419.076.102.486.10
混合型011786工银聚安混合A1.18202025-03-270.08-1.093.835.0814.9519.1919.2526.6318.204.4718.20
混合型009005创金合信鑫祺混合A1.26552025-03-270.080.130.920.285.799.908.3418.9347.870.6648.60
混合型006547红塔红土盛弘混合A1.01722025-03-270.08-0.70-0.144.3514.6422.73-3.55-9.7740.306.2356.95
债券型004499鹏华丰瑞债券A1.02742025-03-270.080.260.24-0.371.222.276.298.7014.16-0.4234.04
混合型003282中信保诚至裕混合A1.41552025-03-270.080.310.730.502.022.451.303.8122.080.4041.55
混合型001265国泰兴益灵活配置混合A1.20302025-03-270.080.000.590.924.345.430.92-0.2418.590.9247.91
混合型970032东海海睿进取灵活配置混合A0.62852025-03-270.08-0.742.20-4.021.58-3.23-21.09-32.40-45.46-2.62-45.46
指数型021749易方达创业板成长ETF联接发起式A1.01962025-03-270.08-2.70-4.941.951.961.961.961.961.963.191.96
股票型021749易方达创业板成长ETF联接发起式A1.01962025-03-270.08-2.70-4.941.951.961.961.961.961.963.191.96
混合型018281山证资管创新成长混合发起式A1.17882025-03-270.08-1.65-1.531.9418.2323.4717.8817.8817.883.4017.88
混合型017887国富安颐稳健6个月持有期混合C1.07282025-03-270.080.200.550.863.826.907.287.287.280.867.28
混合型014355东方欣冉九个月持有期混合C0.92302025-03-270.08-0.12-0.09-1.060.500.48-5.78-7.70-7.70-0.55-7.70
债券型013971长江尊利债券C1.11942025-03-270.08-0.12-0.510.403.204.816.749.537.550.677.55
债券型012398南方佳元6个月持有债券C1.10532025-03-270.080.140.310.222.225.056.849.4110.530.1310.53
混合型012220南方安泰混合C1.15032025-03-270.080.180.35-0.032.355.285.747.417.87-0.127.87
混合型011663华安研究驱动混合A0.63392025-03-270.08-3.46-5.96-3.90-4.62-2.15-20.05-23.29-36.61-3.44-36.61
混合型011522鹏扬景源一年持有混合C1.04462025-03-270.08-0.110.450.453.987.334.406.244.460.584.46
混合型005014泰康景泰回报混合A1.69632025-03-270.080.090.840.152.644.777.6116.0651.670.4069.63
债券型002902财通资管积极收益债券C1.19252025-03-270.080.51-0.30-1.134.143.061.013.409.32-1.0529.41
混合型000995建信睿盈灵活配置混合C1.20802025-03-270.08-2.82-3.903.074.867.57-2.89-8.4219.254.9520.80
债券型000108富国稳健增强债券A/B1.29802025-03-270.080.000.460.393.845.794.368.6319.110.6290.74
债券型LOF161626融通通福LOF1.05252025-03-270.07-0.05-0.280.504.415.725.169.3921.660.82126.58
债券型161626融通通福债券(LOF)A1.05252025-03-270.07-0.05-0.280.504.415.725.169.3921.660.82126.58
债券型016651汇丰晋信慧嘉债券A1.02372025-03-270.07-0.03-0.43-1.42-0.790.892.682.372.37-0.882.37
混合型010088工银优质成长混合A0.66732025-03-270.07-1.07-0.210.177.846.68-14.53-23.01-33.270.79-33.27
混合型009901易方达磐固六个月持有期混合C1.05372025-03-270.070.07-0.060.454.144.173.803.547.430.557.43
混合型009807东方红招盈甄选一年混合C1.06402025-03-270.07-0.03-0.471.184.086.436.517.3613.921.3813.92
债券型008070鹏扬富利增强债C1.08462025-03-270.070.060.34-0.032.453.683.963.348.46-0.178.46
股票型007674工银产业升级股票A1.07212025-03-270.07-3.36-3.913.42-2.7410.82-21.14-30.338.474.527.21
债券型006184格林泓鑫纯债A1.04972025-03-270.070.420.23-0.450.622.178.4511.2919.25-0.5329.09
0052201.19862025-03-260.07-2.97-3.16-0.744.213.30-10.91-16.2811.230.2719.86
债券型004246德邦锐乾债券A1.04962025-03-270.070.140.440.944.546.3910.4413.8520.920.9142.01
混合型004142招商盛合灵活混合A1.81822025-03-270.07-0.81-1.047.1216.4112.581.966.6171.718.4181.82
混合型001836易方达瑞祥灵活配置混合E1.51102025-03-270.070.200.53-0.531.214.9310.1312.4331.02-0.5957.09
债券型000142融通增强收益债券A1.13702025-03-270.07-0.060.15-0.021.333.717.6810.7422.380.2171.25
商品型LOF161226国投白银LOF0.97632025-03-270.070.005.269.413.6021.6739.2728.1237.5110.98-2.37
混合型020594华夏软件龙头混合发起式C1.37252025-03-270.07-5.00-8.256.1327.4637.2537.2537.2537.258.8737.25
混合型019094金鹰中小盘精选混合C1.06002025-03-270.07-2.19-6.312.3930.3032.8826.8426.8426.845.6926.84
混合型018545国投瑞银瑞盛混合(LOF)C1.12202025-03-270.07-0.01-0.18-1.150.631.660.660.660.66-1.160.66
0173990.74722025-03-260.07-1.09-0.531.275.644.52-12.85-12.86-12.861.77-12.86
混合型011538长城优选添瑞六个月持有混合A1.01952025-03-270.07-0.15-0.020.131.562.400.872.191.950.251.95
混合型011096博时恒泽混合C1.07962025-03-270.070.010.40-0.563.417.248.399.087.96-0.747.96
混合型010167中银多策略混合C1.36902025-03-270.070.15-0.15-0.510.963.485.153.403.01-0.653.01
混合型002026广发聚盛混合C1.47992025-03-270.07-0.64-0.70-0.812.704.735.6310.6728.05-0.8163.87
混合型001807易方达瑞智灵活配置混合E1.37202025-03-270.070.220.37-0.361.334.739.6711.9130.06-0.5142.80
债券型000189易方达丰华债券A1.32212025-03-270.07-0.16-0.150.683.795.286.564.8928.390.7656.61
债券型519061海富通纯债债券A1.18752025-03-270.070.13-0.290.934.476.534.526.813.901.10158.63
股票型LOF501310价值基金LOF1.20852025-03-270.07-1.880.265.1110.3230.5434.2034.6540.595.4320.84
指数型501310华宝沪港深价值指数A1.20852025-03-270.07-1.880.265.1110.3230.5434.2034.6540.595.4320.84
股票型501310华宝沪港深价值指数A1.20852025-03-270.07-1.880.265.1110.3230.5434.2034.6540.595.4320.84
债券型018562嘉实同舟债券A1.03392025-03-270.070.190.610.492.382.663.393.393.390.343.39
债券型014887招商安福1年定开债发起式1.11312025-03-270.070.000.150.715.298.268.4815.0712.440.6612.44
混合型013540汇添富稳健睿享一年持有混合D1.02162025-03-270.070.370.391.032.675.435.152.982.160.792.16
0123110.73762025-03-260.07-1.10-0.581.125.363.95-13.80-17.58-26.241.64-26.24
混合型012301易方达核心智造混合0.88212025-03-270.07-0.56-1.391.864.0511.082.02-2.26-11.792.19-11.79
混合型012256安信丰穗一年持有混合A1.13322025-03-270.07-0.070.601.053.178.739.5314.1113.321.0013.32
混合型011347易方达宁易一年持有混合A1.07802025-03-270.070.060.41-0.411.384.115.537.437.80-0.447.80
混合型011095博时恒泽混合A1.09992025-03-270.070.020.44-0.453.657.739.3810.589.99-0.629.99
指数型009727招商中证500等权重指数增强C1.33852025-03-270.07-1.010.593.2915.9919.865.5613.9133.855.7533.85
债券型009358兴业稳健双利一年持有期债券A1.07182025-03-270.07-0.31-1.123.218.198.237.746.647.183.717.18
债券型008791招商安华债券A1.22252025-03-270.07-0.050.260.404.916.967.5311.8126.300.4026.01
债券型007088民生加银恒裕债券1.00272025-03-270.070.170.15-0.67-0.340.753.896.7310.71-0.6715.84
债券型005580光大晟利债券C1.23462025-03-270.07-1.08-2.232.8212.6413.595.718.5816.703.7723.46
混合型004720华夏睿磐泰茂混合A1.35462025-03-270.07-0.100.510.322.965.235.966.8228.610.3838.37
混合型001745易方达瑞富灵活配置混合I1.43402025-03-270.070.210.63-0.491.135.219.8912.7431.56-0.4961.75
混合型560003益民创新优势混合1.22122025-03-270.07-0.411.082.848.0314.11-8.76-2.6649.553.6823.98
混合型162102金鹰中小盘精选混合A1.06352025-03-270.07-2.18-6.272.5530.8033.7916.6844.4083.595.841069.29
混合型022076平安鑫瑞混合E1.03982025-03-270.070.05-0.090.582.563.043.043.043.040.423.04
债券型019943兴业恒益6个月持有期债券A1.06062025-03-270.07-0.11-0.570.493.965.656.066.066.060.896.06
混合型019697汇添富鑫享添利六个月持有混合B1.12372025-03-270.070.201.061.233.847.628.698.698.691.088.69
0190050.97072025-03-270.07-0.015.229.303.3921.1933.1733.1733.1710.8733.17
混合型018382安信红利精选混合C1.20792025-03-270.07-0.802.351.814.6614.2821.9321.9321.931.6721.93
债券型011864博时恒泰债券A1.11742025-03-270.07-0.090.160.993.644.666.8610.3811.741.2311.74
混合型010547博时恒进持有期混合A1.07672025-03-270.07-0.66-2.01-0.224.074.543.765.037.670.237.67
混合型009811易方达悦通一年持有期混合C1.12202025-03-270.070.160.37-0.931.644.517.709.0612.20-1.0112.20
混合型009806东方红招盈甄选一年混合A1.07122025-03-270.07-0.02-0.431.294.286.867.378.6616.021.4816.02
混合型002780前海联合泓鑫混合A2.59752025-03-270.07-2.10-3.886.269.2924.97-0.91-6.0775.617.98171.54
混合型000215广发趋势优选灵活配置混合A1.67302025-03-270.070.090.370.402.522.96-0.322.3211.170.48116.19
混合型970050东海海睿锐意3个月定开混合0.70332025-03-270.070.561.25-0.552.456.35-21.39-35.29-42.48-0.97-42.48
债券型519734交银强化回报债券A/B1.19492025-03-270.07-0.56-0.674.108.528.987.37-1.617.944.5244.20
股票型LOF161232国投瑞盛LOF1.13662025-03-270.070.00-0.13-1.010.942.28-1.778.8362.33-1.0234.08
混合型161232国投瑞银瑞盛混合(LOF)A1.13662025-03-270.070.00-0.13-1.010.942.28-1.778.8362.33-1.0234.08
混合型018381安信红利精选混合A1.22182025-03-270.07-0.792.391.945.4015.3823.3223.3223.321.7823.32
混合型017618华泰柏瑞招享6个月持有期混合C1.07452025-03-270.07-0.020.180.782.655.639.219.669.660.959.66
混合型017615广发安颐一年持有期混合A0.99482025-03-270.07-0.28-0.651.535.175.93-0.88-0.52-0.522.06-0.52
债券型016779招商安华债券D1.21152025-03-270.07-0.070.220.304.756.596.738.548.540.318.54
股票型015891富国上证50基本面精选股票发起式A0.97692025-03-270.07-0.811.17-3.100.1610.85-1.58-2.31-2.31-2.44-2.31
混合型014409创金合信兴选产业趋势混合C0.87292025-03-270.07-3.92-8.52-4.0624.7419.79-9.76-12.71-12.71-1.47-12.71
混合型010939大摩招惠一年持有期混合C0.92322025-03-270.07-0.08-0.92-1.621.362.26-1.53-0.88-7.68-1.78-7.68
混合型009820嘉实浦惠6个月持有期混合A1.09942025-03-270.070.03-0.34-0.151.141.993.244.389.94-0.139.94
混合型009810易方达悦通一年持有期混合A1.14142025-03-270.070.180.40-0.831.854.938.5710.3914.14-0.9214.14
债券型008069鹏扬富利增强债A1.10632025-03-270.070.060.380.072.654.094.804.6010.63-0.0810.63
债券型006867易方达丰华债券C1.29222025-03-270.07-0.17-0.190.583.584.865.703.6225.860.6739.63
混合型004738摩根安隆回报混合A1.38462025-03-270.07-0.46-0.570.182.406.003.196.1320.110.3038.46
混合型001835易方达瑞祥灵活配置混合I1.52702025-03-270.070.200.53-0.461.335.1710.5713.1132.28-0.5258.73
债券型021462达诚添利利率债A1.00092025-03-270.070.26-0.24-0.92-0.270.090.090.090.09-0.940.09
债券型019794华泰保兴嘉睿3个月持有债券发起C1.02972025-03-270.07-0.02-0.04-0.581.972.972.972.972.97-0.592.97
债券型018472南方津享稳健添利债券C1.07552025-03-270.070.070.270.572.995.437.557.557.550.507.55
0170321.03432025-03-250.070.200.610.413.214.203.433.433.430.323.43
混合型016679贝莱德浦悦丰利混合C1.01562025-03-270.07-0.43-0.35-0.251.211.391.451.551.550.041.55
股票型015892富国上证50基本面精选股票发起式C0.96162025-03-270.07-0.831.11-3.25-0.1510.17-2.77-3.84-3.84-2.58-3.84
0157761.07122025-03-260.070.080.181.213.364.174.197.127.121.267.12
债券型015257鹏华畅享债券C1.07622025-03-270.07-0.09-0.200.376.047.228.237.627.620.707.62
混合型011353国联景盛一年持有混合A1.06092025-03-270.070.230.000.333.245.677.189.366.090.316.09
混合型009100安信稳健增利混合A1.36852025-03-270.07-0.060.571.255.0111.1412.5715.7036.851.2936.85
债券型008792招商安华债券C1.20502025-03-270.07-0.060.240.334.766.656.8910.8024.430.3424.13
混合型006323合煦智远嘉选混合A1.24932025-03-270.07-1.12-0.101.822.378.48-1.52-6.7771.151.5489.92
债券型005641国投瑞银顺源6个月定开债1.07772025-03-270.070.190.00-0.631.153.157.029.7216.09-0.7631.82
债券型003682博时安弘一年定开债发起式A1.16292025-03-270.070.360.00-0.441.432.887.9911.6313.97-0.5534.54
混合型001202东方红领先精选混合A1.51902025-03-270.070.13-0.780.265.717.504.996.1123.630.5377.57
混合型970033东海海睿进取灵活配置混合B0.55162025-03-270.07-0.762.19-4.021.58-3.23-21.09-32.40-44.84-2.63-44.84
混合型970016中信建投价值增长A0.98592025-03-270.07-0.400.34-0.708.203.96-22.54-32.55-48.091.32-48.09
债券型519735交银强化回报债券C1.15212025-03-270.07-0.57-0.704.018.318.556.45-2.855.704.4237.80
债券型519726交银稳固收益债券A1.21872025-03-270.070.301.091.017.929.954.5112.7317.761.1086.97
混合型481010工银中小盘混合2.77302025-03-270.07-4.02-6.195.5224.5217.15-12.05-16.1567.058.70177.30
债券型080003长盛积极配置债券1.20422025-03-270.07-0.48-1.410.684.535.071.92-1.013.890.8193.92
混合型023167浦银盛世E1.36002025-03-270.07-0.95-1.523.033.033.033.033.033.033.033.03
债券型018756睿远稳益增强30天持有债券A1.07242025-03-270.07-0.070.321.323.047.9910.5610.5610.561.2810.56
债券型014846博时恒乐债券A1.12992025-03-270.070.150.35-0.143.808.3010.6612.9912.99-0.3312.99
混合型014658中欧融享增益一年持有期混合C1.03672025-03-270.07-0.26-0.39-0.013.134.413.405.613.670.093.67
混合型014620财通资管稳兴增益六个月持有期混1.04402025-03-270.070.590.390.077.569.547.324.494.400.654.40
债券型014553中航瑞华ESG一年定开债发起C1.02082025-03-270.070.42-0.26-0.190.792.478.4810.3310.38-0.2710.38
混合型008319博道久航混合C1.36712025-03-270.07-1.061.766.0123.1326.7016.838.2344.227.6536.71
债券型008296广发汇利一年定期开放债券1.02682025-03-210.070.20-0.31-0.470.643.058.0412.3620.17-0.5822.32
指数型007386浙商中证500增强C1.53182025-03-270.07-1.130.102.0213.3416.90-0.66-3.4556.594.3656.37
混合型007043前海联合泓鑫混合C2.41772025-03-270.07-2.11-3.916.159.0824.47-1.69-7.2072.107.88151.74
债券型005964中欧安财定开债发起式1.12092025-03-260.070.11-0.180.762.985.359.6812.2719.370.6637.39
债券型000046工银产业债债券B1.43302025-03-270.07-0.070.000.072.805.375.296.9517.640.0788.54
混合型015068华夏圆和混合C0.86142024-12-040.070.67-0.9334.019.56-11.94-28.48-19.84-19.84-11.39-19.84
指数型018633财通中证500指数增强A1.03232025-03-270.07-0.411.124.4513.4315.823.233.233.236.733.23
混合型017957汇添富稳健鑫添益六个月持有混合C1.10652025-03-270.07-0.32-0.571.194.027.026.165.145.141.365.14
混合型015068华夏圆和混合C0.86142024-12-040.070.67-0.9334.019.56-11.94-28.48-19.84-19.84-11.39-19.84
混合型012459汇添富稳健睿享一年持有混合A1.02162025-03-270.070.370.391.032.675.435.162.982.160.802.16
混合型011804景顺长城宁景6个月持有混合C1.17492025-03-270.07-0.99-1.250.769.0212.119.1718.7217.491.5017.49
混合型009903易方达悦享一年持有混合C1.09202025-03-270.070.040.050.383.593.793.833.749.200.319.20
债券型008557易方达裕富债券C1.07892025-03-270.070.160.050.403.585.374.837.2615.800.3815.80
混合型008131景顺长城竞争优势混合0.85022025-03-270.07-1.353.715.545.5910.32-2.400.07-14.985.61-14.98
债券型006178中信保诚稳达C1.09522025-03-270.070.800.42-0.132.404.219.4312.8318.67-0.4426.97
混合型005956易方达鑫转添利混合C1.77032025-03-270.070.14-0.05-0.812.205.178.059.9225.37-0.8877.03
混合型910006东方红启盛三年持有混合A3.34892025-03-270.07-1.121.681.970.425.94-15.05-14.59-18.292.81-18.29
混合型519177浦银盛世C1.36002025-03-270.07-0.87-1.521.573.821.49-8.42-11.867.632.1852.51
债券型023310博时恒泰债券E1.11722025-03-270.07-0.100.220.220.220.220.220.220.220.220.22
债券型022232鹏华双债保利债券A1.05342025-03-270.07-0.23-0.370.335.345.345.345.345.340.775.34
0221980.99682025-03-250.070.210.07-0.32-0.32-0.32-0.32-0.32-0.32-0.32-0.32
债券型022187宝盈盈泰纯债债券E1.14032025-03-270.070.250.14-0.061.200.880.880.880.88-0.200.88
债券型022129华富安福债券C1.05102025-03-270.07-0.51-1.83-1.950.902.672.672.672.67-1.812.67
债券型019944兴业恒益6个月持有期债券C1.05682025-03-270.07-0.12-0.600.413.795.315.685.685.680.825.68
债券型019793华泰保兴嘉睿3个月持有债券发起A1.03192025-03-270.07-0.02-0.03-0.542.133.193.193.193.19-0.553.19
混合型013824汇丰晋信慧悦混合1.05432025-03-270.07-0.38-0.77-0.242.606.023.415.615.43-0.035.43
混合型011803景顺长城宁景6个月持有混合A1.19062025-03-270.07-0.99-1.230.869.2412.5610.0720.1719.061.6019.06
混合型011762平安鑫瑞混合C1.03522025-03-270.070.06-0.060.712.774.5011.768.143.520.533.52
混合型011539长城优选添瑞六个月持有混合C1.00332025-03-270.07-0.16-0.050.031.361.990.060.970.330.150.33
混合型010870汇添富稳健鑫添益六个月持有混合A1.11472025-03-270.07-0.32-0.541.274.217.396.9310.9911.471.4411.47
混合型009900易方达磐固六个月持有期混合A1.08312025-03-270.070.08-0.010.604.464.815.055.4310.420.7010.42
混合型009131鹏扬景恒六个月持有混合C1.22372025-03-270.07-0.020.500.603.777.534.638.3622.370.7222.37
债券型006177中信保诚稳达A1.09832025-03-270.070.800.42-0.132.434.259.7413.1619.06-0.4431.73
混合型004739摩根安隆回报混合C1.35422025-03-270.07-0.46-0.590.102.255.692.585.1818.310.2235.42
混合型004143招商盛合灵活混合C1.78432025-03-270.07-0.81-1.057.1116.4112.571.946.5870.578.4278.43
混合型001746易方达瑞富灵活配置混合E1.42002025-03-270.070.210.64-0.491.075.039.4812.1630.29-0.4960.17
债券型001124融通增强收益债券C1.06672025-03-270.07-0.070.12-0.101.163.356.939.5920.270.1338.35
股票型162208宏利首选企业股票A1.47902025-03-270.07-5.15-4.753.720.74-0.14-18.11-18.9038.836.08272.36
股票型022732平安中证汽车零部件主题ETF联接C0.97702025-03-270.07-3.48-2.30-2.30-2.30-2.30-2.30-2.30-2.30-2.30-2.30
股票型018634财通中证500指数增强C1.02522025-03-270.07-0.431.074.3513.1915.352.522.522.526.632.52
股票型018633财通中证500指数增强A1.03232025-03-270.07-0.411.124.4513.4315.823.233.233.236.733.23
股票型017932富达传承6个月股票C1.08722025-03-270.07-3.80-2.686.3712.7823.108.768.768.768.278.76
股票型017289宏利首选企业股票C1.46622025-03-270.07-5.16-4.773.630.57-0.58-18.76-17.85-17.856.00-17.85
股票型016943工银中证1000指数增强C1.04682025-03-270.07-1.950.117.8728.0826.324.684.684.6810.844.68
股票型016935景顺长城中证500指数增强C1.38752025-03-270.07-1.32-0.481.6913.3815.72-1.64-2.99-2.994.24-2.99
股票型013242北信瑞丰优势行业股票0.85382025-03-270.07-3.25-3.2910.5139.6743.5014.621.81-14.6215.07-14.62
股票型009727招商中证500等权重指数增强C1.33852025-03-270.07-1.010.593.2915.9919.865.5613.9133.855.7533.85
股票型009726招商中证500等权重指数增强A1.38462025-03-270.07-1.000.653.4916.4420.817.2516.6638.465.9538.46
股票型007386浙商中证500增强C1.53182025-03-270.07-1.130.102.0213.3416.90-0.66-3.4556.594.3656.37
混合型020562东方红领先精选混合C1.51802025-03-270.070.07-0.780.265.647.4310.4810.4810.480.5310.48
0191401.01772025-03-250.070.15-0.110.150.750.001.771.771.77-0.041.77
债券型016859中加中债-新综合债券指数发起1.07212025-03-270.070.210.430.211.293.166.787.217.210.157.21
混合型016546交银稳进回报六个月持有期混合C0.99162025-03-270.07-0.18-0.13-0.241.411.69-0.71-0.84-0.84-0.35-0.84
混合型011558天弘宁弘六个月A1.00612025-03-270.070.080.19-0.051.625.974.125.120.61-0.060.61
混合型011468国富竞争优势三年持有期混合A1.07122025-03-270.07-0.961.156.016.6429.0018.3628.947.125.997.12
混合型011268长盛鑫盛稳健一年持有C1.04512025-03-270.070.000.771.864.447.884.934.654.511.804.51
债券型011092工银双玺6个月持有期债券C1.07332025-03-270.07-0.070.040.122.656.267.249.197.330.147.33
指数型009726招商中证500等权重指数增强A1.38462025-03-270.07-1.000.653.4916.4420.817.2516.6638.465.9538.46
债券型009359兴业稳健双利一年持有期债券C1.05272025-03-270.07-0.31-1.153.107.977.806.885.365.273.615.27
混合型009101安信稳健增利混合C1.34842025-03-270.07-0.070.541.194.8610.8211.9014.6734.841.2234.84
混合型008318博道久航混合A1.40362025-03-270.07-1.051.806.1523.4427.3518.009.8647.897.7840.36
混合型008127广发趋势优选灵活配置混合C1.63612025-03-270.070.090.340.302.332.55-1.111.108.970.3912.31
混合型005226山证资管改革精选混合1.09692025-03-270.070.250.351.532.974.20-13.00-4.7815.691.309.68
债券型000045工银产业债债券A1.48502025-03-270.07-0.070.070.132.985.776.158.2020.040.2097.87
债券型890005长江尊利债券A1.11162025-03-270.07-0.12-0.480.473.355.156.638.686.800.736.80
债券型161627融通通福债券(LOF)C1.15932025-03-270.07-0.06-0.310.414.205.304.338.0519.740.7259.93
债券型022130华富安福债券D1.05292025-03-270.07-0.50-1.83-1.881.032.852.852.852.85-1.752.85
债券型021434融通通福债券(LOF)D1.27032025-03-270.07-0.04-0.270.517.617.187.187.187.180.827.18
0191391.02142025-03-250.070.16-0.080.250.920.002.142.142.140.052.14
混合型016830广发恒裕一年持有期混合A1.05542025-03-270.07-0.42-0.751.803.045.115.545.545.541.875.54
债券型015978安信恒鑫增强债券A1.06162025-03-270.07-0.020.500.250.874.946.646.166.160.186.16
债券型014717东兴兴源债券C1.02402025-03-270.070.300.240.301.893.252.222.302.400.192.40
混合型012460汇添富稳健睿享一年持有混合C1.00752025-03-270.070.360.360.922.465.004.311.750.750.690.75
混合型011501方正富邦汇福一年定开混合A0.88282025-03-270.07-0.060.87-0.507.5714.00-6.46-6.18-11.72-0.08-11.72
债券型011088景顺长城景泰恒利一年定开债1.02392025-03-270.070.260.29-0.081.563.437.3010.5815.66-0.2215.66
混合型010935国寿安保稳福6个月持有期混合C1.02232025-03-270.07-0.23-0.96-1.214.117.956.252.952.23-1.182.23
混合型010442东方红启盛三年持有混合B3.28032025-03-270.07-1.121.651.870.225.52-15.79-15.94-29.882.71-29.88
混合型009932永赢稳健增长一年持有混合A1.16102025-03-270.07-0.72-1.241.755.598.333.725.2016.102.3416.10
混合型009569浙商智多宝稳健一年持有期C1.03112025-03-270.07-0.040.350.072.274.710.231.874.700.164.70
混合型009130鹏扬景恒六个月持有混合A1.24822025-03-270.07-0.020.530.703.987.975.489.6724.820.8124.82
混合型008835富国量化对冲策略三个月持有期混1.10912025-03-270.070.050.351.602.860.535.255.0510.841.3610.91
债券型008302永赢易弘债券A1.19472025-03-270.070.08-0.090.233.074.648.5711.7319.470.1719.47
混合型005955易方达鑫转添利混合A1.85292025-03-270.070.150.00-0.662.515.819.4312.0029.28-0.7485.29
股票型005328前海开源价值策略股票0.66782025-03-270.071.172.79-4.982.361.32-28.49-45.25-33.14-4.94-33.22
混合型002025广发聚盛混合A1.58492025-03-270.07-0.63-0.68-0.702.854.966.1611.5129.73-0.7674.95
混合型001806易方达瑞智灵活配置混合I1.40602025-03-270.070.210.36-0.351.444.9310.0212.4831.27-0.5046.24
混合型001721工银新增益混合1.33702025-03-270.070.000.220.454.708.615.784.1322.440.4533.70
混合型001183南方利淘A1.65742025-03-270.070.240.34-0.111.676.045.236.1129.38-0.1765.74
债券型000338鹏华双债保利债券B1.25512025-03-270.07-0.23-0.370.345.278.046.006.1417.530.7773.52
债券型012168工银中债1-5年进出口行E1.08052025-02-050.070.07-0.142.290.000.000.000.009.440.029.44
债券型519190万家双利债券A1.23222025-03-270.070.24-0.43-2.100.991.840.023.0715.43-1.9354.31
债券型519060海富通纯债债券C1.16202025-03-270.070.12-0.320.854.336.233.915.882.401.03148.96
指数型022732平安中证汽车零部件主题ETF联接C0.97702025-03-270.07-3.48-2.30-2.30-2.30-2.30-2.30-2.30-2.30-2.30-2.30
债券型021747南方悦享稳健添利债券C1.00162025-03-270.070.000.190.160.160.160.160.160.160.160.16
债券型021684兴证全球丰德债券A1.03302025-03-270.07-0.020.791.682.763.303.303.303.301.693.30
0208600.99402025-03-250.07-0.12-0.600.673.27-0.52-0.60-0.60-0.600.80-0.60
混合型020593华夏软件龙头混合发起式A1.38302025-03-270.07-4.98-8.206.4428.2038.3038.3038.3038.309.1838.30
混合型016179华安新活力灵活配置混合C1.47402025-03-270.070.00-0.811.106.509.431.45-3.85-3.851.38-3.85
债券型014955国联安添益增长债券A1.05032025-03-270.070.220.392.033.384.585.055.035.032.495.03
债券型014552中航瑞华ESG一年定开债发起A1.02852025-03-270.070.44-0.23-0.100.992.899.3511.6611.72-0.1811.72
混合型012951汇添富鑫享添利六个月持有混合A1.12372025-03-270.070.191.061.233.837.619.0712.7312.371.0812.37
债券型012168工银中债1-5年进出口行E1.08052025-02-050.070.07-0.142.290.000.000.000.009.440.029.44
债券型012140太平丰泰一年定开债券发起式1.09122025-03-270.070.250.350.664.627.668.8510.1910.730.8010.73
混合型011822易方达产业升级混合A0.84582025-03-270.07-0.55-1.471.954.2711.952.35-3.19-15.422.38-15.42
混合型011502方正富邦汇福一年定开混合C0.86522025-03-270.07-0.070.83-0.617.3013.44-7.40-7.59-13.48-0.20-13.48
混合型011351金鹰年年邮益一年持有混合A0.94152025-03-270.07-1.38-3.601.647.272.91-9.02-7.66-0.482.52-0.48
混合型011267长盛鑫盛稳健一年持有A1.06042025-03-270.070.010.811.974.658.305.785.926.041.906.04
混合型009525广发聚荣一年持有混合A1.15842025-03-270.07-0.160.080.652.624.245.948.4315.840.5815.84
混合型008979万家民丰回报一年持有混合1.14732025-03-270.07-0.11-0.300.744.977.125.043.6415.311.1314.73
混合型008836富国量化对冲策略三个月持有期混1.08682025-03-270.070.050.321.502.660.134.413.798.651.278.68
0059761.23142025-03-260.07-0.11-0.48-0.263.983.73-1.94-1.8914.01-0.3427.73
混合型004947汇添富盈润混合C1.37582025-03-270.07-0.18-1.54-0.071.603.652.822.9117.250.1041.99
混合型004721华夏睿磐泰茂混合C1.32652025-03-270.07-0.110.490.252.824.925.345.8726.710.3135.38
混合型001433易方达瑞景混合1.73962025-03-270.070.310.51-0.421.975.7510.8013.0332.71-0.6581.01
混合型762001国金国鑫发起A1.03682025-03-270.070.210.56-0.693.4311.95-0.06-2.1118.73-0.10300.09
0208781.01022025-03-250.07-0.230.440.560.951.021.021.021.020.561.02
混合型020696海富通红利优选混合C1.15692025-03-270.07-0.612.771.999.5515.6915.6915.6915.692.3015.69
债券型019445华富恒盛纯债债券E1.10372025-03-270.070.350.100.101.062.544.624.624.620.014.62
债券型018757睿远稳益增强30天持有债券C1.06752025-03-270.07-0.070.291.242.897.6810.0710.0710.071.2210.07
0170331.02672025-03-250.070.200.580.313.013.782.672.672.670.222.67
指数型016935景顺长城中证500指数增强C1.38752025-03-270.07-1.32-0.481.6913.3815.72-1.64-2.99-2.994.24-2.99
混合型016831广发恒裕一年持有期混合C1.04792025-03-270.07-0.42-0.791.712.854.694.794.794.791.794.79
混合型015059华夏产业升级混合C1.69302025-03-270.07-4.95-7.34-4.164.5311.92-9.65-6.89-6.77-3.78-6.77
混合型014619财通资管稳兴增益六个月持有期混1.05682025-03-270.070.600.430.167.779.978.185.765.680.735.68
0140331.01672025-03-260.07-0.17-0.090.742.713.331.581.671.670.941.67
混合型012442永赢稳健增长一年持有混合E1.14362025-03-270.07-0.71-1.261.665.397.912.903.951.852.261.85
混合型012027光大安阳一年持有期混合A1.06572025-03-270.07-0.78-0.541.425.095.594.427.346.572.136.57
股票型011424汇添富外延增长股票C1.36002025-03-270.07-0.582.490.52-0.606.9615.532.29-15.030.07-15.03
混合型011244万家惠裕回报6个月持有期混合C1.06892025-03-270.07-0.34-0.511.635.706.983.485.796.892.136.89
混合型011243万家惠裕回报6个月持有期混合A1.08512025-03-270.07-0.33-0.501.725.907.414.317.088.512.228.51
混合型010072方正富邦策略精选A0.93652025-03-270.07-0.241.011.809.6916.34-0.30-1.62-6.352.62-6.35
混合型009762国金国鑫发起C1.02332025-03-270.070.200.53-0.753.3011.68-0.57-2.851.35-0.171.35
债券型006185格林泓鑫纯债C1.04892025-03-270.070.410.22-0.470.522.038.1610.8918.59-0.5528.19
债券型004952兴全恒益债券A1.37802025-03-270.070.09-0.261.997.668.744.196.5323.502.3444.97
混合型001817易方达瑞兴灵活配置混合I1.49202025-03-270.070.270.47-0.532.126.1911.2613.6333.50-0.8055.13
股票型000925汇添富外延增长股票A1.39202025-03-270.07-0.642.500.58-0.407.3216.413.7457.890.1464.84
债券型000876建信稳定得利债券C1.39502025-03-270.070.07-0.070.142.574.263.645.5216.600.2252.16
债券型008296广发汇利一年定期开放债券1.02682025-03-210.070.20-0.31-0.470.643.058.0412.3620.17-0.5822.32
债券型519733交银强化回报债券A/B1.19492025-03-270.07-0.56-0.674.108.528.987.37-1.617.944.5244.20
混合型110005易方达积极成长混合0.54292025-03-270.070.151.5910.1024.0619.98-14.45-20.5024.7812.92749.83
指数型018634财通中证500指数增强C1.02522025-03-270.07-0.431.074.3513.1915.352.522.522.526.632.52
债券型018471南方津享稳健添利债券A1.08112025-03-270.070.080.300.643.135.738.118.118.110.578.11
混合型012609安信稳健汇利一年持有混合A1.14812025-03-270.070.070.540.353.146.606.8510.7714.810.4514.81
债券型011091工银双玺6个月持有期债券A1.08972025-03-270.07-0.060.060.222.856.688.1110.518.970.248.97
债券型008596平安乐顺39个月定开债A1.02492025-03-270.070.160.290.681.322.845.438.8115.360.6516.17
债券型004247德邦锐乾债券C1.04572025-03-270.070.140.420.884.386.009.7312.7919.100.8639.88
混合型001157国联安睿祺灵活配置混合1.19122025-03-270.07-0.170.040.973.606.187.978.7036.641.1382.72
混合型270008广发核心精选混合4.29802025-03-270.07-0.513.840.96-0.565.94-4.85-1.3838.291.54391.27
债券型021746南方悦享稳健添利债券A1.00232025-03-270.070.000.230.230.230.230.230.230.230.230.23
0208791.00842025-03-250.07-0.230.410.480.790.840.840.840.840.480.84
指数型016943工银中证1000指数增强C1.04682025-03-270.07-1.950.117.8728.0826.324.684.684.6810.844.68
债券型016003广发集远债券A1.07522025-03-270.07-0.060.491.663.647.826.397.527.521.587.52
0157771.05992025-03-260.070.080.151.143.203.863.475.995.991.195.99
债券型014716东兴兴源债券A1.01982025-03-270.070.300.250.301.903.252.021.831.980.191.98
混合型013994中欧光熠一年持有混合C0.96662025-03-270.07-2.38-1.825.0917.2624.92-3.53-2.06-3.346.14-3.34
混合型013917国联成长先锋一年持有混合C0.72612025-03-270.07-4.42-8.09-2.043.971.31-17.01-27.39-27.39-0.60-27.39
混合型013662华安研究领航混合C0.66802025-03-270.07-3.45-5.97-3.93-4.52-2.34-20.75-23.69-33.20-3.45-33.20
混合型012914方正富邦趋势领航混合C0.82162025-03-270.07-0.231.191.517.5813.28-4.45-7.72-17.842.39-17.84
债券型005846宝盈盈泰纯债债券A1.14022025-03-270.070.250.15-0.051.163.345.54-2.844.32-0.2019.68
债券型004953兴全恒益债券C1.33532025-03-270.070.07-0.301.887.438.313.355.2521.052.2440.64
混合型004227泰信鑫利混合A1.21072025-03-270.070.490.410.802.744.588.406.1412.170.6923.31
债券型002412华富安福债券A1.05322025-03-270.07-0.50-1.83-1.881.052.242.297.6120.16-1.7429.29
混合型001818易方达瑞兴灵活配置混合E1.47002025-03-270.070.340.55-0.542.085.9810.8612.9932.14-0.8152.89
混合型260115景顺长城中小盘混合A1.50702025-03-270.07-1.050.273.728.8111.30-3.1317.9937.824.51185.00
债券型202102南方多利增强债券C1.17802025-03-270.07-0.41-0.251.975.085.196.209.8222.741.95138.90
混合型022288合煦智远嘉选混合E1.24942025-03-270.07-1.11-0.101.831.521.521.521.521.521.551.52
混合型014939同泰产业升级混合C0.96152025-03-270.07-3.36-5.9213.5632.4032.712.83-3.85-3.8520.40-3.85
混合型013912中欧招益稳健一年持有混合A1.07352025-03-270.07-0.160.210.763.146.787.658.847.350.627.35
混合型011841嘉实兴锐优选一年持有混合A0.70562025-03-270.07-2.18-0.9410.518.4413.66-14.13-23.85-29.4412.05-29.44
混合型011352金鹰年年邮益一年持有混合C0.92052025-03-270.07-1.39-3.651.497.162.51-9.92-9.14-2.682.37-2.68
混合型009427鹏扬景惠六个月持有期混合C1.13352025-03-270.07-0.100.510.523.827.663.476.5713.350.6413.35
债券型006470工银目标收益一年定开A1.47002025-03-270.070.200.34-0.141.594.7010.3615.1120.69-0.2032.55
债券型213917宝盈增强收益债券C1.30972025-03-270.060.130.61-0.591.234.2810.329.5925.64-0.74130.51
债券型213007宝盈增强收益债券A/B1.41602025-03-270.060.130.63-0.501.404.6611.1710.8728.13-0.65156.57
指数型021036博时中证汽车零部件主题指数发起1.26722025-03-270.06-3.81-4.718.4022.8526.7226.7226.7226.7211.4326.72
混合型019523景顺长城价值发现混合A31.17072025-03-270.060.023.905.503.3510.1217.0717.0717.075.3517.07
指数型019269国泰富时中国国企开放共赢ETF发起1.08232025-03-270.060.230.64-5.36-0.584.188.238.238.23-5.358.23
股票型019269国泰富时中国国企开放共赢ETF发起1.08232025-03-270.060.230.64-5.36-0.584.188.238.238.23-5.358.23
指数型018117泰康中证500指数增强发起C1.06222025-03-270.06-1.160.010.249.5215.436.226.226.222.666.22
股票型018117泰康中证500指数增强发起C1.06222025-03-270.06-1.160.010.249.5215.436.226.226.222.666.22
0176731.16862025-03-250.060.210.471.715.727.517.798.158.151.408.15
债券型016870景顺长城稳健增益债券C1.08602025-03-270.060.300.780.813.549.057.978.608.600.708.60
债券型016513招商安嘉债券1.02552025-03-270.06-0.02-0.010.784.218.7214.6919.8219.820.7719.82
债券型016479易方达裕丰回报债券C1.80402025-03-270.060.170.22-0.063.506.437.517.067.06-0.227.06
混合型012153博时研究慧选混合A1.33052025-03-270.06-0.886.5110.0013.8937.2639.8533.6533.0510.1033.05
0121061.08452025-03-250.06-0.320.091.115.726.356.248.268.451.178.45
混合型011842嘉实兴锐优选一年持有混合C0.69172025-03-270.06-2.19-0.9910.358.1112.97-15.16-25.21-30.8311.89-30.83
混合型011823易方达产业升级混合C0.83342025-03-270.06-0.56-1.511.854.0611.491.52-4.36-16.662.28-16.66
混合型011354国联景盛一年持有混合C1.04452025-03-270.060.21-0.040.233.035.246.328.054.450.214.45
债券型008597平安乐顺39个月定开债C1.02372025-03-270.060.150.280.651.272.735.218.7314.520.6215.26
债券型007511南方泰元债券C1.08882025-03-270.060.310.15-0.201.123.187.059.7114.86-0.3219.84
0065751.08782025-03-250.06-0.09-0.120.555.527.05-1.62-4.485.400.798.78
指数型004945长信中证500指数增强A1.49762025-03-270.06-0.481.332.1115.3321.352.93-3.2041.934.1749.75
股票型004945长信中证500指数增强A1.49762025-03-270.06-0.481.332.1115.3321.352.93-3.2041.934.1749.75
混合型001711安信新趋势混合C1.23962025-03-270.06-0.020.40-0.012.575.056.139.4124.040.1251.49
混合型001609平安鑫享混合A1.64002025-03-270.06-0.09-0.092.044.735.8114.6613.4432.842.1264.00
混合型001547兴业聚惠混合A1.59992025-03-270.060.07-0.14-0.021.954.595.514.7524.05-0.1175.78
混合型000432中银优秀企业混合1.64102025-03-270.06-2.55-2.03-0.732.243.01-15.76-16.23-12.290.2464.10
混合型010194博时睿祥15个月定开混合A0.71212024-11-250.061.22-3.1910.715.722.67-14.84-36.24-28.795.70-28.79
混合型022974鹏华弘实混合D1.00062025-03-270.060.120.220.060.060.060.060.060.060.060.06
债券型017903汇添富双颐债券C1.00492025-03-270.06-0.210.580.390.883.450.490.490.490.030.49
债券型016715建信渤泰债券A1.07552025-03-270.06-0.230.220.853.986.277.617.557.551.037.55
债券型015256鹏华畅享债券A1.08462025-03-270.06-0.09-0.180.446.207.588.928.468.460.768.46
0152520.86902025-03-260.06-0.72-0.341.395.356.25-10.36-13.10-13.101.42-13.10
债券型014386华富安业一年持有债券C1.03032025-03-270.06-0.160.000.762.564.853.873.033.030.863.03
混合型014011浦银安盛价值成长混合C1.10152025-03-270.06-2.08-4.080.1713.3713.71-12.04-25.91-39.761.74-39.76
混合型013913中欧招益稳健一年持有混合C1.05972025-03-270.06-0.170.180.662.946.356.797.535.970.525.97
0137940.78202025-03-260.06-2.40-1.650.047.345.49-1.73-6.08-21.801.14-21.80
0137930.79252025-03-260.06-2.39-1.610.147.555.91-0.94-4.94-20.751.24-20.75
0136681.05952025-03-250.060.160.000.031.934.505.317.595.95-0.215.95
混合型011559天弘宁弘六个月C0.99242025-03-270.060.070.15-0.151.415.553.293.86-0.76-0.16-0.76
混合型010949景顺长城研究驱动三年持有混合1.07532025-03-270.06-1.293.425.185.6811.372.247.537.535.247.53
混合型010194博时睿祥15个月定开混合A0.71212024-11-250.061.22-3.1910.715.722.67-14.84-36.24-28.795.70-28.79
混合型009526广发聚荣一年持有混合C1.13662025-03-270.06-0.170.040.552.423.825.097.1413.660.4913.66
0088860.98532025-03-260.06-0.56-0.580.404.334.71-3.84-5.93-0.760.60-1.47
混合型008856华夏安泰对冲策略3个月定开混合1.21172025-03-270.060.200.690.183.64-0.757.1614.8021.17-0.0821.17
混合型007318中银民丰回报混合1.21632025-03-270.06-0.34-0.20-0.142.003.962.674.0719.550.2223.78
混合型002767泰康宏泰回报混合A1.66612025-03-270.060.150.690.172.273.894.639.2624.610.0166.61
债券型019881中信保诚稳达E1.09442025-03-270.060.800.40-0.172.283.997.667.667.66-0.487.66
混合型018245嘉实产业精选混合C1.06232025-03-270.06-1.80-2.470.012.416.236.236.236.232.406.23
0173210.94682025-03-260.06-0.53-0.990.081.764.10-1.95-2.78-2.780.24-2.78
债券型017137长盛盛逸9个月持有期债券A1.05762025-03-270.060.230.090.253.105.029.129.129.120.189.12
债券型016125汇泉安盈回报债券C1.02322025-03-270.060.07-0.16-0.400.532.293.472.322.32-0.262.32
混合型012154博时研究慧选混合C1.30002025-03-270.06-0.886.469.8413.5136.3838.1231.2130.009.9630.00
混合型011017鹏扬景明一年混合1.06372025-03-270.06-0.130.460.564.337.965.328.286.370.686.37
混合型010938大摩招惠一年持有期混合A0.93752025-03-270.06-0.06-0.89-1.511.572.66-0.730.32-6.25-1.68-6.25
债券型003638安信永鑫增强债券C1.08152025-03-270.060.010.45-0.062.604.635.129.4214.790.0736.42
混合型001505南方利众C1.60602025-03-270.06-0.091.030.663.598.000.314.0222.500.8167.31
混合型001335南方利众A1.58032025-03-270.06-0.081.040.683.648.170.534.3823.170.8365.12
债券型000386景顺长城景颐双利债券C1.64902025-03-270.06-0.240.180.493.066.669.069.6425.800.7397.80
混合型519127浦银盛世A1.70202025-03-270.06-0.93-1.501.553.911.73-8.05-11.358.752.2286.84
混合型023629平安鑫享混合F1.64002025-03-270.06-0.090.040.040.040.040.040.040.040.040.04
债券型022360永赢易弘债券B1.17892025-03-270.060.07-0.09-0.370.970.970.970.970.97-0.370.97
债券型022329中泰安弘债券C1.03542025-03-270.060.230.320.683.373.373.373.373.370.523.37
混合型018037泰康宏泰回报混合C1.65602025-03-270.060.140.660.102.123.584.004.334.33-0.074.33
混合型014730华富荣盛一年持有期混合A1.06052025-03-270.060.13-0.290.873.934.456.806.806.801.026.80
0136691.04522025-03-250.060.15-0.03-0.071.744.094.466.244.52-0.304.52
混合型013635申万菱信双利混合C0.92962025-03-270.06-0.63-1.09-0.193.224.65-2.69-0.19-7.040.33-7.04
混合型010299南方产业升级混合A0.69182025-03-270.06-0.600.062.634.886.37-13.77-17.14-30.822.66-30.82
债券型008556易方达裕富债券A1.08982025-03-270.060.160.070.503.755.735.598.4718.040.4818.04
混合型007326国投瑞银新增长混合C1.43982025-03-270.060.130.290.254.806.954.936.8237.690.2859.08
债券型006866汇安嘉鑫纯债债券C1.01232025-03-270.060.97-1.90-1.90-1.90-1.90-1.90-1.90-1.90-1.90-1.90
债券型485011工银瑞信双利债券B1.78502025-03-270.06-0.110.22-0.282.124.024.888.4415.31-0.17127.39
债券型020915鹏扬稳鑫120天滚动持有债券A1.07682025-03-270.060.230.490.564.387.687.687.687.680.497.68
0173741.02332025-03-250.06-0.070.340.984.996.584.555.755.750.985.75
0172711.25772025-03-260.06-0.73-1.83-0.513.994.541.933.283.280.143.28
债券型016716建信渤泰债券C1.06652025-03-270.06-0.230.200.763.795.876.776.656.650.946.65
债券型016417南方稳鑫6个月持有债券C1.10252025-03-270.060.15-0.230.812.914.558.5210.2510.250.7310.25
混合型015732尚正新能源产业混合A0.66602025-03-270.06-4.75-2.0710.3918.2110.17-26.14-33.40-33.4013.03-33.40
混合型014545浦银兴耀优选一年持有混合A0.66822025-03-270.06-2.11-4.10-0.0413.3913.02-14.41-33.18-33.181.55-33.18
债券型013482平安合轩1年定开债发起式1.10452025-03-270.060.110.400.222.246.6910.4610.4610.460.1910.46
0115910.99002025-03-260.06-0.73-0.710.495.315.411.852.08-1.000.79-1.00
混合型011554海富通欣利混合A1.24122025-03-270.06-0.580.564.3714.9219.0516.2924.3624.125.2524.12
混合型006259汇添富红利增长混合A1.54802025-03-270.06-0.390.962.723.3510.947.93-8.5845.902.6354.80
指数型003760国泰中证500指数增强A1.13332025-03-270.06-1.44-0.182.9916.5618.263.245.1615.135.9019.35
混合型001667南方转型增长混合A1.90562025-03-270.06-0.101.72-1.004.5111.31-3.76-1.6284.83-0.0890.56
债券型000898华富恒稳纯债债券A1.11512025-03-270.060.300.230.041.503.408.8010.6215.67-0.1145.85
债券型952024国泰君安君得盛债券A1.18452025-03-270.060.050.76-0.032.484.021.400.926.75-0.067.60
债券型050116博时宏观回报债券C1.42192025-03-270.06-0.22-1.28-0.892.993.973.343.866.59-0.5960.14
混合型023606平安鑫瑞混合F1.04392025-03-270.060.06-0.20-0.20-0.20-0.20-0.20-0.20-0.20-0.20-0.20
混合型022495嘉实红利精选混合发起式A1.00142025-03-270.060.090.350.170.140.140.140.140.140.150.14
混合型021514富国港股通红利精选混合C1.12342025-03-270.06-0.582.198.4911.0512.3412.3412.3412.347.9212.34
债券型020994红土创新添益债券C1.00782025-03-270.060.090.230.100.680.780.780.780.780.060.78
债券型020917鹏扬稳鑫120天滚动持有债券E1.07482025-03-270.060.220.470.504.307.487.487.487.480.437.48
混合型019521景顺长城价值发现混合A11.16152025-03-270.060.013.855.353.119.5116.1516.1516.155.2216.15
0182981.07862025-03-250.060.070.340.267.318.137.867.867.860.167.86
混合型017616广发安颐一年持有期混合C0.98602025-03-270.06-0.29-0.671.434.955.49-1.69-1.40-1.401.98-1.40
债券型017420易方达裕祥回报债券C1.54202025-03-270.060.000.130.473.256.028.778.498.490.548.49
0152530.85872025-03-260.06-0.73-0.371.295.135.83-11.08-14.13-14.131.33-14.13
混合型014108博时品质生活混合C0.63992025-03-270.06-1.74-1.100.522.091.91-19.03-27.01-36.010.68-36.01
混合型012748华泰柏瑞远见智选混合A0.35092025-03-270.06-1.93-1.291.33-0.45-11.61-50.74-56.14-64.912.63-64.91
混合型011555海富通欣利混合C1.23362025-03-270.06-0.590.544.3114.9018.9415.9423.7223.365.1923.36
混合型011300易方达智造优势混合A0.95222025-03-270.06-0.60-1.511.753.4211.502.121.61-4.782.16-4.78
混合型010926兴银科技增长1个月滚动混合C0.96742025-03-270.06-5.55-8.004.9934.2328.8717.5211.98-3.269.03-3.26
债券型010816银华远兴一年持有期债券1.07892025-03-270.060.000.130.212.314.515.227.027.890.207.89
混合型010548博时恒进持有期混合C1.05822025-03-270.06-0.66-2.05-0.333.864.122.933.785.820.145.82
债券型010353南方崇元纯债债券A1.18892025-03-270.060.620.33-0.031.673.9310.9614.3421.48-0.3321.48
混合型009308天弘安康颐养混合C1.28752025-03-270.060.030.180.294.638.3910.2012.7828.750.3428.75
债券型006773国寿安保尊荣中短债债券A1.17372025-03-270.060.200.450.451.152.306.629.2415.680.3521.52
混合型002331泰康安泰回报混合1.52762025-03-270.060.000.51-0.560.782.837.639.8035.03-0.7452.76
债券型022758国泰君安君得盛债券D1.18422025-03-270.060.050.75-0.040.740.740.740.740.74-0.080.74
混合型021381华宝量化对冲混合D1.16642025-03-270.060.280.651.161.900.630.630.630.630.840.63
债券型020993红土创新添益债券A1.00982025-03-270.060.110.260.180.830.980.980.980.980.130.98
债券型017583鑫元恒鑫收益增强债券型发起式D1.04592025-03-270.06-0.40-0.86-0.392.233.984.774.934.93-0.084.93
混合型016549永赢消费龙头智选混合发起A0.68452025-03-270.06-3.79-1.57-5.30-2.35-8.57-31.10-31.55-31.55-2.16-31.55
债券型014385华富安业一年持有债券A1.04212025-03-270.06-0.150.030.862.785.294.724.214.210.954.21
0140341.00672025-03-260.06-0.18-0.120.642.492.920.760.670.670.840.67
混合型011761平安鑫瑞混合A1.04392025-03-270.060.06-0.060.702.784.5211.898.684.390.534.39
0115801.00462025-03-260.06-0.39-0.460.273.584.242.031.290.460.390.46
0072551.23882025-03-260.06-0.74-1.86-0.593.804.151.232.2018.400.0623.87
债券型006406华富恒盛纯债债券C1.08552025-03-270.060.340.100.101.052.546.7610.2611.480.0215.87
混合型004361摩根安通回报混合A1.36782025-03-270.06-0.76-1.601.373.436.348.2112.2020.772.2940.92
债券型003107光大安祺债券A1.31252025-03-270.06-0.120.381.718.2710.858.3610.8618.922.3636.65
混合型002923兴业聚惠混合C1.66402025-03-270.060.07-0.14-0.051.904.495.334.5023.35-0.1351.27
混合型001330鹏华弘实混合C1.52252025-03-270.060.120.210.170.832.573.231.1522.830.1157.47
债券型021921汇泉安阳纯债D1.14642025-01-210.060.000.030.000.001.131.131.131.13-0.031.13
混合型970017中信建投价值增长C0.95312025-03-270.06-0.420.27-0.897.773.14-23.78-34.15-49.811.11-49.81
债券型021921汇泉安阳纯债D1.14642025-01-210.060.000.030.000.001.131.131.131.13-0.031.13
债券型018960永赢易弘债券C1.19292025-03-270.060.07-0.120.153.164.596.586.586.580.096.58
0172431.03182025-03-250.060.04-0.150.928.437.423.773.553.551.073.55
混合型016550永赢消费龙头智选混合发起C0.67772025-03-270.06-3.80-1.60-5.39-2.82-9.02-31.70-32.23-32.23-2.25-32.23
债券型014956国联安添益增长债券C1.04372025-03-270.060.210.381.973.274.374.644.374.372.434.37
混合型014938同泰产业升级混合A0.97302025-03-270.06-3.35-5.9013.6732.6533.253.65-2.70-2.7020.51-2.70
混合型013998中欧瑾添混合A0.88212025-03-270.06-0.27-0.530.435.052.40-10.37-9.57-11.790.42-11.79
0121670.93932025-03-260.06-0.53-1.020.011.603.76-2.61-4.23-6.070.16-6.07
混合型010925兴银科技增长1个月滚动混合A0.98762025-03-270.06-5.53-7.975.1334.5729.5018.7013.67-1.249.15-1.24
债券型005436圆信永丰兴瑞定开债1.09592025-03-270.060.380.18-0.241.557.6712.1015.1521.28-0.3834.71
债券型000081天治可转债增强债券C1.44802025-03-270.06-0.050.330.416.107.332.55-0.489.040.5644.80
债券型023017南方丰元信用增强债券D1.40692025-03-270.060.410.34-0.11-0.11-0.11-0.11-0.11-0.11-0.11-0.11
债券型020136华富吉禄90天滚动持有债券C1.03672025-03-270.060.280.270.271.453.164.274.274.270.224.27
股票型018883海富通ESG领先股票C1.16592025-03-270.06-1.350.202.339.1716.5816.5916.5916.592.7916.59
混合型017849东方红先进制造混合C0.96542025-03-270.06-2.01-0.981.67-2.812.52-3.46-3.46-3.462.42-3.46
0172941.07392025-03-250.060.000.430.746.326.146.527.967.960.667.96
债券型016923金鹰添兴一年定开债券发起式1.05822025-03-270.060.330.11-0.152.223.635.825.825.82-0.445.82
债券型016247天弘裕享一年定开债发起1.03342025-03-270.060.290.32-0.261.824.218.088.258.25-0.468.25
债券型016124汇泉安盈回报债券A1.03052025-03-270.060.08-0.15-0.330.662.594.033.053.05-0.193.05
混合型015277博时均衡回报混合C0.80992025-03-270.06-1.940.020.253.323.17-11.88-19.01-19.010.53-19.01
混合型014408创金合信兴选产业趋势混合A0.88492025-03-270.06-3.91-8.49-3.9425.0920.43-8.81-11.51-11.51-1.36-11.51
混合型012952汇添富鑫享添利六个月持有混合C1.10942025-03-270.060.181.031.143.647.248.3111.5510.940.9910.94
混合型012661广发恒益一年持有期混合A1.02712025-03-270.06-0.34-0.982.346.828.17-0.093.722.712.992.71
混合型012610安信稳健汇利一年持有混合C1.13152025-03-270.060.050.510.252.946.175.999.4313.150.3513.15
混合型012345嘉实领先优势混合C0.94852025-03-270.06-3.360.303.547.0218.8310.669.40-5.153.50-5.15
混合型010089工银优质成长混合C0.64452025-03-270.06-1.09-0.28-0.037.425.83-15.88-24.84-35.550.59-35.55
债券型010015华夏鼎清债券C1.05212025-03-270.06-0.78-1.221.296.196.444.815.905.211.825.21
混合型009247易方达磐恒九个月持有混合A1.11432025-03-270.060.04-0.040.293.684.043.695.4911.430.2711.43
0091741.16072025-03-250.060.210.451.645.567.187.1410.0216.071.3316.07
债券型006405华富恒盛纯债债券A1.10742025-03-270.060.340.120.141.082.737.1511.0513.250.0521.53
债券型003683博时安弘一年定开债发起式C1.14022025-03-270.060.36-0.04-0.531.232.477.1310.3011.71-0.6430.11
债券型000579鑫元恒鑫收益增强债券型发起式C1.00192025-03-270.06-0.41-0.90-0.502.033.563.923.367.82-0.178.17
债券型900097中信债券优化一年持有债C1.07002025-03-270.06-0.19-0.32-0.140.29-0.190.971.221.290.161.29
债券型660109农银增强收益债券C1.77502025-03-270.06-0.41-0.590.703.684.901.962.9311.991.0988.61
债券型213907宝盈增强收益债券A/B1.41602025-03-270.060.130.63-0.501.404.6611.1710.8728.13-0.65156.57
债券型022017华泰柏瑞集利债券C1.00572025-03-270.06-0.050.150.820.570.570.570.570.571.000.57
债券型021463达诚添利利率债C0.99972025-03-270.060.25-0.25-0.97-0.38-0.03-0.03-0.03-0.03-0.99-0.03
债券型020135华富吉禄90天滚动持有债券A1.03962025-03-270.060.280.280.321.553.384.564.564.560.274.56
指数型019259国泰富时中国国企开放共赢ETF发起1.08582025-03-270.060.230.65-5.32-0.484.398.588.588.58-5.318.58
股票型019259国泰富时中国国企开放共赢ETF发起1.08582025-03-270.060.230.65-5.32-0.484.398.588.588.58-5.318.58
0182971.08672025-03-250.060.070.370.357.528.568.678.678.670.248.67
0172421.06922025-03-250.06-0.151.031.1718.0116.074.133.983.981.423.98
债券型015991长城鑫利30天滚动持有中短债A1.06882025-03-270.060.370.400.241.622.956.526.876.870.166.87
0157571.04232025-03-260.06-0.230.110.492.913.954.264.234.230.594.23
混合型014657中欧融享增益一年持有期混合A1.04992025-03-270.06-0.26-0.370.093.344.824.236.884.990.174.99
混合型014551诺安新动力灵活配置混合C3.17702025-03-270.060.031.022.023.32-2.16-17.74-11.26-21.773.28-21.77
混合型013634申万菱信双利混合A0.94242025-03-270.06-0.62-1.06-0.103.425.07-1.901.02-5.760.44-5.76
混合型010539浙商智多金稳健一年持有期A1.05272025-03-270.06-0.270.320.802.958.368.728.616.391.096.39
混合型009268创金合信稳健增利6个月持有期A1.21212025-03-270.060.130.46-0.481.413.8110.6317.3321.21-0.6621.21
股票型008538兴银研究精选股票C0.87352025-03-270.06-2.73-2.840.3418.0917.82-1.43-14.22-12.652.73-12.65
债券型003108光大安祺债券C1.28132025-03-270.06-0.120.371.648.1110.527.739.8517.232.2933.41
混合型002010中欧瑾通灵活配置混合C1.44252025-03-270.060.030.240.544.636.138.2110.5726.760.5058.61
债券型900007中信债券优化一年持有债A1.08552025-03-270.06-0.18-0.29-0.050.490.211.782.432.750.252.75
债券型023626南方崇元纯债债券E1.18882025-03-270.060.610.930.930.930.930.930.930.930.930.93
债券型023309博时宏观回报债券E1.45872025-03-270.06-0.21-1.24-0.71-0.71-0.71-0.71-0.71-0.71-0.71-0.71
指数型022731平安中证汽车零部件主题ETF联接A0.97712025-03-270.06-3.48-2.29-2.29-2.29-2.29-2.29-2.29-2.29-2.29-2.29
混合型020353富国量化对冲策略三个月持有期混1.10902025-03-270.060.050.351.592.860.531.411.411.411.351.41
混合型019322中信建投致远混合A1.05642025-03-270.06-2.49-2.220.656.845.815.645.645.643.455.64
指数型018116泰康中证500指数增强发起A1.06912025-03-270.06-1.160.040.349.7415.906.916.916.912.766.91
股票型018116泰康中证500指数增强发起A1.06912025-03-270.06-1.160.040.349.7415.906.916.916.912.766.91
混合型017617华泰柏瑞招享6个月持有期混合A1.08362025-03-270.06-0.020.200.882.856.0510.0910.6010.601.0410.60
指数型016942工银中证1000指数增强A1.05522025-03-270.06-1.950.127.9728.3226.835.525.525.5210.935.52
0129091.03262025-03-260.060.240.130.070.721.802.644.413.26-0.083.26
混合型012028光大安阳一年持有期混合C1.04972025-03-270.06-0.79-0.571.314.895.173.596.054.972.034.97
债券型010354南方崇元纯债债券C1.16972025-03-270.060.610.30-0.131.473.5210.0712.9719.55-0.4219.55
混合型009956广发恒誉混合A1.05782025-03-270.060.130.011.645.485.040.334.175.781.855.78
混合型005774华夏产业升级混合A1.72412025-03-270.06-4.93-7.30-4.014.8512.60-8.55-5.2252.11-3.6481.04
债券型003637安信永鑫增强债券A1.07892025-03-270.060.000.45-0.042.654.725.339.8915.980.0938.27
混合型002009中欧瑾通灵活配置混合A1.49502025-03-270.060.030.260.614.786.448.8611.5728.680.5764.24
债券型660009农银增强收益债券A1.85832025-03-270.06-0.40-0.570.773.835.212.583.8713.681.1697.37
债券型202103南方多利增强债券A1.17912025-03-270.06-0.41-0.232.045.235.496.8410.8124.582.01118.70
指数型070023嘉实深证基本面120联接A2.08702025-03-270.06-0.83-0.97-0.583.5010.02-0.28-0.6816.840.53108.70
债券型040009华安稳定收益债券A1.15952025-03-270.060.19-0.462.347.329.406.2011.7323.712.62154.50
0221970.99722025-03-250.060.210.08-0.28-0.28-0.28-0.28-0.28-0.28-0.28-0.28
混合型018055鹏扬景添一年持有混合C1.04472025-03-270.060.09-0.060.051.352.444.474.474.470.104.47
债券型017018农银瑞泽添利债券C1.05272025-03-270.060.020.460.502.713.674.445.275.270.625.27
0129360.61972025-03-260.06-2.15-1.151.918.214.17-22.93-27.60-38.033.04-38.03
债券型010014华夏鼎清债券A1.07052025-03-270.06-0.78-1.191.396.406.885.667.187.051.917.05
混合型009367浦银安盛科技创新一年定开混合C1.09702025-03-270.06-0.141.243.6421.2742.5839.7628.509.703.849.70
指数型005998嘉实深证基本面120联接C1.27312025-03-270.06-0.83-1.00-0.683.299.58-1.07-1.8614.530.4426.43
混合型005371中加心悦混合A1.00342025-03-270.060.18-0.02-0.281.161.13-4.52-1.23-7.29-0.440.62
混合型002273宏利创益混合B1.64402025-03-270.060.00-0.36-0.900.673.273.406.9727.19-0.8477.24
指数型002076浙商中证500增强A1.56202025-03-270.06-1.110.132.1113.5317.320.05-2.4259.374.4556.20
混合型001710安信新趋势混合A1.25242025-03-270.06-0.010.410.052.685.266.5910.0525.310.1854.19
混合型001610平安鑫享混合C1.60332025-03-270.06-0.10-0.111.944.525.3813.7412.0730.192.0360.33
混合型001499国投瑞银新增长混合A1.45082025-03-270.060.140.290.284.857.075.157.1538.390.3194.99
债券型008942华泰紫金周周购3月滚动债C1.18432024-09-270.061.361.730.142.701.511.015.1218.432.4118.43
债券型020916鹏扬稳鑫120天滚动持有债券C1.07612025-03-270.060.220.490.534.327.617.617.617.610.467.61
混合型019997长信优势行业混合A1.12012025-03-270.06-2.86-4.752.855.7312.0412.0112.0112.014.1812.01
混合型017540安信稳健增益6个月持有混合A1.04782025-03-270.06-0.010.510.412.875.394.784.784.780.534.78
债券型016180宝盈聚鑫一年定期开放债券发起式1.05572025-03-270.060.160.320.211.062.816.747.667.660.167.66
混合型013938天弘安康颐养混合E1.11632025-03-270.060.030.190.334.738.6010.6313.4611.630.3811.63
债券型011865博时恒泰债券C1.10212025-03-270.06-0.100.130.913.464.316.119.2310.211.1610.21
混合型010300南方产业升级混合C0.67412025-03-270.06-0.620.002.464.565.72-14.81-18.64-32.592.51-32.59
0095731.05652025-03-250.06-0.170.991.0517.7415.553.202.285.651.315.65
混合型009366浦银安盛科技创新一年定开混合A1.11602025-03-270.06-0.131.273.7421.5243.1540.8930.0711.603.9411.60
混合型007925平安鑫享混合E1.63072025-03-270.06-0.09-0.092.014.685.7014.4313.0832.152.1038.82
指数型007397华宝沪港深价值指数C1.17762025-03-270.06-1.880.225.009.8929.7532.7632.6737.445.3319.17
股票型007397华宝沪港深价值指数C1.17762025-03-270.06-1.880.225.009.8929.7532.7632.6737.445.3319.17
债券型006148宝盈融源可转债债券C1.23712025-03-270.06-1.86-2.646.5617.5517.098.159.6520.698.2623.71
债券型006147宝盈融源可转债债券A1.25802025-03-270.06-1.85-2.626.6517.7217.458.8010.6422.538.3425.80
混合型002088国富新机遇混合C1.58102025-03-270.060.00-0.38-1.130.763.065.826.4032.68-1.1971.25
混合型001536南方君选1.58622025-03-270.06-1.380.012.497.8211.391.353.8152.163.40103.37
混合型000754华宝量化对冲混合C1.13132025-03-270.060.280.631.111.791.014.49-0.892.660.7939.04
债券型000385景顺长城景颐双利债券A1.72502025-03-270.06-0.170.230.583.237.089.9410.9328.340.88106.96
债券型000236工银月月薪定期支付债券A1.75402025-03-270.06-0.060.11-0.110.294.782.872.047.410.0075.40
债券型008941华泰紫金周周购3月滚动债A1.20092024-09-270.061.361.750.212.841.811.626.0720.092.6320.09
混合型320018诺安新动力灵活配置混合A3.21702025-03-270.060.061.072.133.51-1.80-17.07-10.1456.013.41258.85
债券型041009华安稳定收益债券A1.15952025-03-270.060.19-0.462.347.329.406.2011.7323.712.62154.50
债券型020522华商安恒债券C1.08202025-03-270.06-0.17-0.771.056.828.208.208.208.201.288.20
债券型018480东方红6个月持有债券C1.05722025-03-270.060.180.030.403.184.765.725.725.720.375.72
混合型017767嘉实欣荣混合(LOF)C0.82492025-03-270.06-1.670.332.38-1.144.13-20.45-24.72-24.722.79-24.72
0172801.08622025-03-250.06-0.320.101.155.826.556.647.267.261.207.26
债券型016416南方稳鑫6个月持有债券A1.11282025-03-270.060.15-0.200.913.114.969.3911.2811.280.8211.28
混合型012749华泰柏瑞远见智选混合C0.34572025-03-270.06-1.96-1.341.20-0.66-11.99-51.14-56.67-65.432.52-65.43
混合型010940大成安享得利六月持有混合A1.09862025-03-270.06-0.061.102.644.637.428.068.749.862.469.86
混合型009715汇添富策略增长灵活配置混合1.01102025-03-270.06-2.99-6.20-0.843.365.16-15.88-10.741.101.791.10
债券型006625汇安嘉鑫纯债债券A1.01122025-03-270.060.94-1.14-1.380.962.336.1610.5215.67-1.7339.26
债券型006572宝盈盈泰纯债债券C1.10712025-03-270.060.240.13-0.091.093.014.68-4.111.93-0.2310.19
混合型002745北信瑞丰丰利混合1.11902025-03-270.06-0.641.636.1618.1316.327.498.1913.766.9917.68
混合型002087国富新机遇混合A1.61202025-03-270.06-0.06-0.37-1.041.003.406.547.4034.72-1.1675.98
混合型000753华宝量化对冲混合A1.16812025-03-270.060.280.661.211.981.425.330.314.730.8843.52
混合型000511国泰国策驱动灵活配置混合A1.73802025-03-270.06-0.170.17-0.341.881.16-2.58-2.6623.11-0.1186.89
债券型000355南方丰元信用增强债券A1.40692025-03-270.060.410.340.292.123.447.538.7714.360.1172.65
债券型000080天治可转债增强债券A1.51522025-03-270.06-0.040.360.516.317.773.360.6811.330.6551.52
债券型040010华安稳定收益债券B1.15192025-03-270.060.19-0.492.247.118.975.3510.4021.272.53137.85
债券型021429中泰安弘债券A1.03652025-03-270.060.240.340.743.433.653.653.653.650.593.65
指数型021035博时中证汽车零部件主题指数发起1.26942025-03-270.06-3.80-4.698.4622.9826.9426.9426.9426.9411.4926.94
混合型016678贝莱德浦悦丰利混合A1.02502025-03-270.06-0.43-0.33-0.161.381.772.242.492.490.132.49
混合型015733尚正新能源产业混合C0.65552025-03-270.06-4.77-2.1210.2217.859.52-27.02-34.45-34.4512.86-34.45
债券型015362汇添富鑫裕一年定开债发起式A1.02162025-03-270.060.30-0.35-1.051.512.415.977.327.32-1.177.32
混合型015125易方达悦鑫一年持有混合A1.05012025-03-270.060.010.131.113.603.544.855.015.011.085.01
混合型014731华富荣盛一年持有期混合C1.05342025-03-270.060.12-0.320.773.734.036.096.096.090.926.09
混合型014499南方转型增长混合C1.86912025-03-270.06-0.111.68-1.154.2110.60-4.93-3.41-15.31-0.22-15.31
混合型012542金鹰产业升级混合C0.50862025-03-270.06-4.74-7.118.3513.7014.63-19.18-38.13-49.1411.36-49.14
混合型011301易方达智造优势混合C0.93642025-03-270.06-0.61-1.551.653.2111.041.300.39-6.362.05-6.36
混合型009689易方达瑞锦混合A1.27002025-03-270.060.380.61-0.492.899.0214.9320.1531.82-0.7331.82
债券型007510南方泰元债券A1.06312025-03-270.060.320.19-0.161.173.257.1510.1716.25-0.2721.64
股票型070023嘉实深证基本面120联接A2.08702025-03-270.06-0.83-0.97-0.583.5010.02-0.28-0.6816.840.53108.70
股票型022731平安中证汽车零部件主题ETF联接A0.97712025-03-270.06-3.48-2.29-2.29-2.29-2.29-2.29-2.29-2.29-2.29-2.29
股票型022300安信周期优选股票型发起C0.96002025-03-270.06-2.08-0.683.92-4.00-4.00-4.00-4.00-4.004.93-4.00
股票型021036博时中证汽车零部件主题指数发起1.26722025-03-270.06-3.81-4.718.4022.8526.7226.7226.7226.7211.4326.72
股票型021035博时中证汽车零部件主题指数发起1.26942025-03-270.06-3.80-4.698.4622.9826.9426.9426.9426.9411.4926.94
股票型016942工银中证1000指数增强A1.05522025-03-270.06-1.950.127.9728.3226.835.525.525.5210.935.52
股票型005998嘉实深证基本面120联接C1.27312025-03-270.06-0.83-1.00-0.683.299.58-1.07-1.8614.530.4426.43
股票型003760国泰中证500指数增强A1.13332025-03-270.06-1.44-0.182.9916.5618.263.245.1615.135.9019.35
股票型002076浙商中证500增强A1.56202025-03-270.06-1.110.132.1113.5317.320.05-2.4259.374.4556.20
混合型420009天弘安康颐养混合A2.27042025-03-270.060.040.190.344.748.6110.6413.4631.390.38127.04
债券型165314建信信用增强债券(LOF)C1.58602025-03-270.06-0.06-0.060.191.152.194.968.3320.700.1951.63
混合型019998长信优势行业混合C1.15432025-03-270.06-2.87-4.792.699.3115.4915.4315.4315.434.0315.43
混合型019522景顺长城价值发现混合A21.16732025-03-270.060.023.885.443.259.8816.7316.7316.735.2916.73
债券型018849鑫元恒鑫收益增强债券型发起式E1.04652025-03-270.06-0.42-0.82-0.482.224.074.344.344.34-0.144.34
债券型018761鑫元乐享90天持有债券A1.04522025-03-270.060.130.310.311.372.974.524.524.520.264.52
债券型018563嘉实同舟债券C1.02692025-03-270.060.190.580.382.172.252.692.692.690.232.69
混合型018556中银新经济灵活配置混合C1.71402025-03-270.06-1.55-1.55-1.277.468.41-7.80-7.80-7.80-0.12-7.80
债券型017902汇添富双颐债券A1.01092025-03-270.06-0.210.610.481.063.761.091.091.090.121.09
混合型017848东方红先进制造混合A0.97392025-03-270.06-2.00-0.951.80-2.652.95-2.61-2.61-2.612.55-2.61
债券型017138长盛盛逸9个月持有期债券C1.05542025-03-270.060.230.090.192.994.838.728.728.720.138.72
债券型014847博时恒乐债券C1.11902025-03-270.060.140.33-0.173.527.909.8611.9011.90-0.3711.90
混合型014233博时专精特新主题混合C0.98462025-03-270.06-2.891.1711.3739.7036.4811.389.29-1.5415.20-1.54
混合型014232博时专精特新主题混合A1.00092025-03-270.06-2.891.2011.5040.0437.1512.4910.940.0915.320.09
混合型014107博时品质生活混合A0.65262025-03-270.06-1.73-1.050.662.382.51-18.05-25.67-34.740.82-34.74
混合型013999中欧瑾添混合C0.88602025-03-270.06-0.27-0.540.455.032.80-10.11-9.14-11.400.44-11.40
混合型013190国联景惠混合A1.05062025-03-270.060.260.230.002.524.726.368.335.06-0.095.06
混合型011027国寿安保稳弘混合A1.19602025-03-270.06-0.260.514.898.8510.40-2.61-0.1919.605.2419.60
债券型002351易方达裕祥回报债券A1.55402025-03-270.060.000.190.603.496.469.6412.1733.690.6687.43
混合型001504南方利淘C1.64832025-03-270.060.230.33-0.141.625.934.995.7328.77-0.2063.52
债券型000578鑫元恒鑫收益增强债券型发起式A1.04592025-03-270.06-0.40-0.86-0.402.233.984.774.6410.03-0.0812.88
股票型022387华夏中证汽车零部件主题ETF发起式1.11042025-03-270.05-3.82-4.788.1711.0411.0411.0411.0411.0411.2411.04
股票型022386华夏中证汽车零部件主题ETF发起式1.11162025-03-270.05-3.82-4.768.2611.1611.1611.1611.1611.1611.3211.16
股票型022299安信周期优选股票型发起A0.96212025-03-270.05-2.08-0.654.03-3.79-3.79-3.79-3.79-3.795.04-3.79
股票型021622天弘中证汽车零部件主题指数发起C1.30472025-03-270.05-3.82-4.698.3522.6830.4730.4730.4730.4711.4430.47
股票型021621天弘中证汽车零部件主题指数发起A1.30672025-03-270.05-3.81-4.688.4022.8030.6730.6730.6730.6711.4830.67
股票型021141易方达中证汽车零部件主题ETF联接1.18462025-03-270.05-3.80-4.778.0922.9618.4618.4618.4618.4611.1418.46
股票型021140易方达中证汽车零部件主题ETF联接1.18782025-03-270.05-3.80-4.758.1723.1418.7818.7818.7818.7811.2118.78
股票型005795博时中证500指数增强C1.30612025-03-270.05-0.621.052.1314.7417.471.110.7229.154.9034.90
股票型003761国泰中证500指数增强C1.11802025-03-270.05-1.44-0.202.9816.5618.263.225.1315.065.8917.73
债券型372110摩根强化回报债券B1.53362025-03-270.05-0.30-0.370.001.583.942.234.6411.330.0760.56
债券型022799博时富华纯债债券D1.05142025-03-270.050.260.02-0.600.030.030.030.030.03-0.750.03
混合型020099万家惠诚回报平衡一年持有期混合C1.01272025-03-270.05-0.31-0.280.291.702.012.022.022.020.322.02
0197261.01762025-03-260.050.070.020.270.981.761.761.761.760.081.76
债券型018898易方达悦和稳健债券A1.05332025-03-270.05-0.260.050.592.405.485.335.335.330.635.33
债券型018765汇添富稳丰回报债券发起式A1.04742025-03-270.050.16-0.67-1.190.933.334.744.744.74-1.164.74
债券型015069华宝安宜六个月持有债券A1.10502025-03-270.050.37-0.031.585.698.119.8510.5010.501.8010.50
混合型012662广发恒益一年持有期混合C1.01222025-03-270.05-0.35-1.022.246.617.74-0.892.471.222.901.22
债券型009050易方达恒裕一年定开债1.05552025-03-270.050.350.180.092.054.6211.8414.2824.03-0.1723.96
0081441.10402025-03-260.05-0.20-0.190.593.023.640.821.0210.420.6610.40
混合型004442中欧康裕混合A1.24522025-03-270.050.040.350.694.315.374.174.5619.010.9243.87
债券型003302华夏鼎融债券C1.15552025-03-270.05-0.050.430.153.124.685.724.5820.570.2030.62
混合型002116广发安享混合A1.25782025-03-270.05-0.11-0.22-0.530.732.274.265.9723.34-0.6257.42
混合型001381鹏华弘泽混合C1.59282025-03-270.05-0.801.216.819.737.387.619.6227.147.3259.28
混合型001343易方达新享混合C1.29872025-03-270.050.260.44-0.711.705.0710.1512.1531.34-0.9476.35
债券型000171易方达裕丰回报债券A1.82302025-03-270.050.160.220.003.646.808.3210.2226.10-0.22132.14
基金中的基金501211民生加银优享FOF0.98012025-03-260.05-0.54-0.390.703.794.951.352.18-1.990.89-1.99
债券型022251中信保诚增强收益债券(LOF)C1.10882025-03-270.050.08-0.59-0.631.620.830.830.830.83-0.560.83
债券型022133富国增利债券发起式E1.05922025-03-270.050.280.18-0.061.120.970.970.970.97-0.200.97
债券型020080华富恒稳纯债债券D1.11482025-03-270.050.290.230.041.503.395.485.485.48-0.125.48
混合型019216天弘价值精选混合发起C1.56132025-03-270.050.050.19-0.091.523.926.336.336.33-0.166.33
债券型018570华宝安元债券A1.09202025-03-270.05-0.01-0.261.926.957.959.209.209.202.149.20
0175941.05042025-03-260.05-0.040.240.333.183.945.045.045.040.145.04
0173431.22992025-03-250.05-0.300.110.424.164.313.034.414.410.334.41
混合型016824嘉实方舟一年持有期混合A1.03432025-03-270.050.220.570.532.092.363.433.433.430.373.43
混合型016747浦银安盛光耀优选混合C0.86902025-03-270.05-1.79-3.440.3813.8913.88-10.73-13.10-13.101.95-13.10
混合型014036博时成长回报混合A0.78412025-03-270.05-4.33-7.469.9633.6523.48-9.24-12.45-21.5912.76-21.59
混合型012407永赢长远价值混合C0.58412025-03-270.05-0.800.99-0.39-3.883.95-0.09-20.36-41.590.78-41.59
混合型011398招商瑞和1年持有期混合C1.10112025-03-270.05-0.210.140.551.531.864.867.0610.110.4810.11
混合型009690易方达瑞锦混合C1.25802025-03-270.050.370.59-0.542.788.8014.4719.4230.59-0.7930.59
债券型009461东方臻萃3个月定开债券A1.10802025-03-270.050.210.280.341.022.5511.2217.6729.650.2929.65
债券型008644天弘季季兴三个月定开债券发起A1.11532025-03-260.050.000.08-0.031.354.7411.2815.2821.96-0.2225.10
债券型007645平安季享裕定开债A1.09482025-03-270.050.01-0.090.823.704.547.8211.6320.360.8625.42
债券型003384金鹰添盈纯债债券A1.01062025-03-270.050.280.280.08-0.041.16142.37145.39110.49-0.03149.90
混合型002553博时创业成长混合C1.89002025-03-270.05-2.12-2.63-1.872.115.47-9.27-19.54-16.37-0.8915.03
混合型001342易方达新享混合A1.57722025-03-270.050.270.46-0.621.755.2910.6812.8232.69-0.93145.59
债券型000116嘉实丰益纯债定期债券A1.01362025-03-270.050.410.270.021.744.7512.7116.3519.10-0.1170.28
债券型051016博时宏观回报债券A/B1.45812025-03-270.05-0.21-1.25-0.803.164.334.074.978.47-0.5266.60
债券型022537天弘季季兴三个月定开债券发起E1.11462025-03-260.050.000.06-0.080.380.380.380.380.38-0.270.38
债券型018625国泰君安君增利60天滚动持有债券1.05722025-03-270.050.190.290.971.433.415.725.725.720.935.72
0169271.03192025-03-270.05-0.05-0.080.070.541.313.103.193.190.103.19
混合型015272博时恒益稳健一年持有混合A1.10342025-03-270.05-0.09-0.05-0.162.466.888.5710.3410.340.0410.34
债券型014398中银恒悦180天持有债券C1.10012025-03-270.050.03-0.010.131.754.568.0410.7010.010.0510.01
债券型013412嘉实方舟6个月滚动持有债券发起C1.08642025-03-270.050.180.310.112.062.704.077.318.64-0.028.64
0133381.02242025-03-260.050.080.190.360.922.072.022.462.240.302.24
混合型010995博时创新经济混合C0.99722025-03-270.05-1.81-0.106.2926.1619.99-7.4915.48-0.2810.07-0.28
混合型010229平安鼎弘混合(LOF)D1.08242025-03-270.05-0.92-0.53-1.020.964.165.441.81-0.11-1.14-0.11
混合型009248易方达磐恒九个月持有混合C1.09382025-03-270.050.04-0.060.193.483.632.874.239.380.179.38
指数型003761国泰中证500指数增强C1.11802025-03-270.05-1.44-0.202.9816.5618.263.225.1315.065.8917.73
债券型003429中证兴业中高等级信用债指数A1.17402025-03-270.050.310.400.451.413.046.638.8224.440.3747.18
混合型002801泓德泓信混合1.53872025-03-270.05-1.040.873.2818.3722.4310.061.1059.065.6991.66
混合型002056中银新财富混合C1.08362025-03-270.050.602.50-1.073.337.6510.2910.6527.97-1.4368.46
混合型001164中欧琪和灵活配置混合A1.32022025-03-270.050.190.380.352.024.265.046.9020.430.2860.66
债券型970103华创证券创享一年持有债券A1.71792025-03-270.050.120.631.204.196.567.508.569.191.279.19
债券型040022华安可转债债券A1.98102025-03-270.05-0.45-0.703.4513.5216.198.3115.7851.113.9998.10
混合型022578天弘价值精选混合发起E1.55682025-03-270.050.040.18-0.140.500.500.500.500.50-0.210.50
债券型022010华富祥晖6个月持有期债券A1.00572025-03-270.050.260.340.210.570.570.570.570.570.140.57
指数型021141易方达中证汽车零部件主题ETF联接1.18462025-03-270.05-3.80-4.778.0922.9618.4618.4618.4618.4611.1418.46
0173880.98422025-03-250.050.310.030.020.911.610.451.521.52-0.181.52
混合型016623银华卓信成长精选混合A0.66292025-03-270.05-3.44-3.451.111.89-2.97-27.60-33.71-33.713.76-33.71
0157581.03082025-03-260.05-0.240.070.392.713.543.423.083.080.503.08
混合型015450华泰柏瑞多策略混合C1.72612025-03-270.05-0.501.303.114.0410.9211.4231.5832.514.2832.51
0154421.19352025-03-260.05-1.14-1.75-2.23-0.290.24-4.83-5.33-5.33-1.24-5.33
混合型015276博时均衡回报混合A0.82422025-03-270.05-1.940.060.393.633.79-10.81-17.58-17.580.66-17.58
债券型015055摩根安享回报一年持有期债券C1.05912025-03-270.05-0.34-0.390.092.335.152.024.402.770.182.77
债券型014138中泰安睿债券C1.00632025-03-270.050.240.12-0.480.532.365.998.088.28-0.568.28
0131390.97592025-03-250.050.310.030.020.931.43-0.220.07-2.41-0.17-2.41
混合型011459东方鑫享价值成长一年持有混合C0.55982025-03-270.05-0.604.402.369.315.66-27.10-43.51-44.024.48-44.02
混合型009250易方达磐泰一年持有期混合C1.16032025-03-270.050.090.510.131.213.917.337.8616.030.0316.03
债券型007333嘉合磐昇纯债C1.11342025-03-270.050.250.05-0.491.101.815.708.6214.75-0.6518.82
混合型005372中加心悦混合C1.00222025-03-270.050.18-0.03-0.321.121.07-4.55-1.31-7.35-0.470.50
债券型004534汇添富双盈回报一年持有债A1.39082025-03-270.05-0.22-0.091.613.206.089.7212.0020.201.7739.08
混合型003840易方达瑞通灵活配置混合C2.00132025-03-270.050.110.26-0.891.626.029.9111.4344.70-0.99100.13
债券型003038广发集瑞债券C1.00882025-03-270.05-0.04-0.420.951.432.401.722.282.681.0717.72
债券型003037广发集瑞债券A1.03872025-03-270.05-0.04-0.391.051.672.932.423.384.671.1621.62
债券型000356南方丰元信用增强债券C1.35682025-03-270.050.400.300.201.923.036.687.4512.140.0265.12
债券型007420华安鼎信3个月定开债1.05212025-03-250.050.280.02-0.011.083.218.0411.1718.63-0.1623.79
混合型006354国泰民裕进取灵活配置混合0.56222025-03-100.050.86-0.09-1.545.66-4.79-16.14-27.16-43.78-1.02-43.78
债券型023646前海开源鼎瑞债券D1.06372025-03-270.050.220.250.250.250.250.250.250.250.250.25
债券型022016华泰柏瑞集利债券A1.00672025-03-270.05-0.050.160.880.670.670.670.670.671.070.67
债券型021955金鹰添盈纯债债券E1.01032025-03-270.050.270.260.00-0.49-1.86-1.86-1.86-1.86-0.10-1.86
0218191.01612025-03-250.050.030.270.381.331.611.611.611.610.251.61
0218181.01792025-03-250.050.040.300.451.491.791.791.791.790.331.79
指数型021622天弘中证汽车零部件主题指数发起C1.30472025-03-270.05-3.82-4.698.3522.6830.4730.4730.4730.4711.4430.47
混合型019323中信建投致远混合C1.05182025-03-270.05-2.48-2.220.586.665.415.185.185.183.385.18
债券型018624国泰君安君增利60天滚动持有债券1.06092025-03-270.050.190.321.031.533.626.096.096.090.986.09
混合型018448中欧琪和灵活配置混合E1.31982025-03-270.050.180.380.352.024.264.634.634.630.284.63
混合型018244嘉实产业精选混合A1.06642025-03-270.05-1.80-2.430.152.726.646.646.646.642.546.64
债券型016869景顺长城稳健增益债券A1.09622025-03-270.050.300.810.893.739.478.839.629.620.789.62
混合型016825嘉实方舟一年持有期混合C1.02712025-03-270.050.210.550.451.901.962.712.712.710.282.71
混合型016624银华卓信成长精选混合C0.65652025-03-270.05-3.44-3.481.021.69-3.37-28.18-34.35-34.353.65-34.35
0129101.02332025-03-260.050.230.100.000.601.552.133.612.33-0.142.33
债券型012540东方兴润债券C1.03962025-03-270.050.280.370.311.483.848.649.676.240.236.24
债券型008645天弘季季兴三个月定开债券发起C1.11742025-03-260.050.000.06-0.051.304.6311.0414.9021.30-0.2524.39
债券型008535兴银合盛定开债A1.00972025-03-270.050.090.230.621.512.845.668.3813.210.6013.28
混合型008405华泰紫金泰盈混合C1.32632025-03-270.050.213.546.737.4114.05-0.236.9538.196.6932.63
债券型007646平安季享裕定开债C1.08682025-03-270.050.00-0.110.753.571.672.095.434.350.798.68
债券型007420华安鼎信3个月定开债1.05212025-03-250.050.280.02-0.011.083.218.0411.1718.63-0.1623.79
债券型007235广发聚利债券C1.37962025-03-270.050.36-0.23-0.711.083.9710.5612.8113.90-0.8821.35
债券型007129天弘增强回报债券C1.38742025-03-270.050.090.430.134.206.544.366.1025.440.2538.74
混合型006354国泰民裕进取灵活配置混合0.56222025-03-100.050.86-0.09-1.545.66-4.79-16.14-27.16-43.78-1.02-43.78
混合型004455中欧康裕混合C1.23822025-03-270.050.040.340.674.265.263.974.2718.430.9043.11
混合型003175华泰柏瑞多策略混合A1.75452025-03-270.05-0.491.353.264.3611.5912.7633.80112.384.43148.08
混合型001562易方达瑞和灵活配置混合1.77162025-03-270.050.300.58-1.081.234.898.2910.6626.28-1.3084.11
混合型001515平安新鑫先锋C2.20202025-03-270.05-2.13-1.5015.9631.3426.8316.553.83124.6518.6655.59
混合型001172鹏华弘泽混合A1.63762025-03-270.05-0.791.226.849.807.527.8710.0227.927.3563.76
债券型000516富国祥利一年期定期开放债券型A1.19082025-03-270.050.300.170.011.353.518.8612.6921.98-0.1446.39
混合型000367国泰安康定期支付混合A1.96602025-03-270.05-0.050.670.203.477.795.473.4726.920.2096.60
债券型005591汇添富鑫永定开债C1.07142021-09-020.050.140.240.731.967.147.147.140.007.147.14
债券型LOF162712广发聚利LOF1.40812025-03-270.050.36-0.21-0.641.274.3411.3614.0315.94-0.81135.92
债券型162712广发聚利债券(LOF)A1.40812025-03-270.050.36-0.21-0.641.274.3411.3614.0315.94-0.81135.92
指数型022387华夏中证汽车零部件主题ETF发起式1.11042025-03-270.05-3.82-4.788.1711.0411.0411.0411.0411.0411.2411.04
指数型021621天弘中证汽车零部件主题指数发起A1.30672025-03-270.05-3.81-4.688.4022.8030.6730.6730.6730.6711.4830.67
债券型020746泰信添安增利九个月持有期债券A1.01682025-03-270.050.110.170.401.271.681.681.681.680.331.68
债券型020367嘉实方舟6个月滚动持有债券发起E1.09582025-03-270.050.180.330.162.172.953.673.673.670.053.67
债券型018762鑫元乐享90天持有债券C1.04252025-03-270.050.120.290.261.262.764.254.254.250.204.25
混合型017624农银瑞云增益6个月持有混合A1.05362025-03-270.050.030.350.493.483.815.365.365.360.555.36
0172751.09652025-03-250.05-0.08-0.090.635.707.41-0.95-0.37-0.370.86-0.37
混合型010994博时创新经济混合A1.03132025-03-270.05-1.80-0.046.5026.6620.95-5.9918.303.1310.283.13
债券型010165太平丰和一年定开债券发起式1.00122025-03-270.050.050.780.303.055.480.604.551.120.491.12
债券型007168华安安和债券C1.04622025-03-270.050.180.240.141.013.028.2512.3920.220.1122.57
债券型006617工银瑞泽定开债券1.09202025-03-270.050.150.17-0.400.902.868.2412.0022.42-0.5025.11
债券型006011中信保诚稳鸿A5.08522025-03-270.050.190.530.341.253.338.7512.0322.500.27743.14
债券型005837创金合信泰盈双季红定开债券C1.07722025-03-270.050.200.18-0.011.022.385.809.5915.89-0.0919.04
债券型005591汇添富鑫永定开债C1.07142021-09-020.050.140.240.731.967.147.147.140.007.147.14
混合型005498银华积极成长混合A1.55512025-03-270.050.162.23-0.29-0.194.20-15.75-18.3028.490.3055.51
债券型003168前海开源鼎瑞债券C1.06372025-03-270.050.220.06-0.422.663.176.545.927.75-0.4721.22
混合型920011中金安心回报灵活配置混合A1.08792025-03-270.05-0.420.180.972.845.551.10-13.80-9.310.98-9.31
股票型LOF167003鼎弘LOF1.08132025-03-270.05-0.92-0.53-1.020.954.155.371.830.95-1.148.13
混合型167003平安鼎弘混合(LOF)A1.08132025-03-270.05-0.92-0.53-1.020.954.155.371.830.95-1.148.13
债券型021549富国稳健双鑫债券C1.02902025-03-270.050.100.360.302.142.902.902.902.900.362.90
指数型021140易方达中证汽车零部件主题ETF联接1.18782025-03-270.05-3.80-4.758.1723.1418.7818.7818.7818.7811.2118.78
债券型020927中信保诚稳鸿D5.08672025-03-270.050.180.530.330.980.980.980.980.980.260.98
债券型019684万家添利债券(LOF)A1.16102025-03-270.05-0.28-0.781.337.469.559.209.209.201.619.20
混合型017625农银瑞云增益6个月持有混合C1.04522025-03-270.050.030.320.383.283.414.524.524.520.464.52
0170851.07042025-03-250.050.160.040.301.533.326.817.047.040.177.04
混合型016746浦银安盛光耀优选混合A0.87642025-03-270.05-1.77-3.420.4714.1314.34-10.00-12.36-12.362.05-12.36
0154221.02442025-03-250.050.130.02-0.150.441.382.132.442.44-0.262.44
混合型015269招商瑞联1年持有混合C1.03542025-03-270.05-0.37-0.281.002.934.552.683.543.541.363.54
债券型015070华宝安宜六个月持有债券C1.09562025-03-270.050.37-0.051.515.547.789.199.569.561.739.56
混合型014053太平睿庆混合A1.05502025-03-270.05-0.260.02-0.040.665.492.608.685.50-0.265.50
债券型011910南方臻利3个月定开债券发起A1.04112025-03-270.050.290.250.031.313.007.8810.3313.57-0.0613.57
债券型010475摩根安享回报一年持有期债券A1.07062025-03-270.05-0.34-0.360.182.535.552.825.657.060.277.06
混合型010114华宝新兴成长混合A1.06372025-03-270.05-2.81-7.44-3.335.419.34-2.484.296.37-0.176.37
债券型009735天弘增强回报债券E1.25502025-03-270.050.090.430.154.246.644.556.4125.500.2725.50
债券型005836创金合信泰盈双季红定开债券A1.09732025-03-270.050.210.210.061.172.686.4310.5817.77-0.0321.13
混合型002935泰康恒泰回报混合C1.10492025-03-270.05-0.240.070.882.954.805.302.1219.691.1850.23
混合型001329鹏华弘实混合A1.41102025-03-270.050.120.230.240.982.873.511.4623.320.1848.32
债券型000184工银添福债券A1.91602025-03-270.050.160.310.847.5810.5011.6614.8025.970.68110.39
混合型202213南方核心竞争混合2.12852025-03-270.05-0.940.372.427.749.621.483.0866.343.25229.69
债券型021869上银慧鼎利债券C1.03002025-03-270.050.260.24-0.122.002.342.342.342.34-0.282.34
债券型021521中信保诚稳鸿E5.07222025-03-270.050.180.510.261.091.961.961.961.960.191.96
债券型018899易方达悦和稳健债券C1.04882025-03-270.05-0.260.030.502.215.064.884.884.880.554.88
0167391.03552025-03-260.050.080.170.441.933.483.713.553.550.263.55
债券型015802鹏华稳健恒利债券A1.02472025-03-270.05-0.100.46-0.50-0.280.792.732.472.47-0.522.47
混合型015407国寿安保稳弘混合E0.98652025-03-270.05-0.260.494.818.6810.08-3.21-1.05-1.355.17-1.35
混合型015079永赢成长远航一年持有混合A0.84422025-03-270.05-5.67-7.142.1415.3819.24-9.91-15.58-15.583.35-15.58
混合型013677兴银兴慧一年持有混合C1.09702025-03-270.05-1.54-1.243.4712.2412.815.8910.959.704.399.70
混合型013676兴银兴慧一年持有混合A1.10082025-03-270.05-1.54-1.233.5012.3012.936.1011.2810.084.4210.08
债券型013411嘉实方舟6个月滚动持有债券发起A1.09602025-03-270.050.180.330.162.182.954.598.129.600.059.60
债券型012622金鹰添裕纯债债券C1.06522025-03-270.050.480.170.080.383.378.538.227.42-0.057.42
混合型009296南方誉慧一年混合A1.17502025-03-270.05-0.140.821.553.688.514.368.8517.501.5217.50
0052171.19702025-03-260.05-1.14-1.75-2.21-0.270.23-4.67-4.8610.27-1.2119.70
混合型005083诺德量化蓝筹增强混合C1.04512025-03-270.05-1.28-0.13-4.2110.7417.010.27-0.2022.45-3.164.48
混合型002639天弘价值精选混合发起A1.55902025-03-270.050.050.21-0.041.624.135.298.9138.33-0.1255.90
混合型002157长盛盛世混合C1.24242025-03-270.05-1.04-1.752.7615.3918.4113.9114.4035.123.9152.03
混合型001334南方利鑫A1.53482025-03-270.050.240.270.001.625.122.873.9828.23-0.0761.32
混合型920921中金安心回报灵活配置混合C1.06692025-03-270.05-0.420.160.882.635.130.28-14.83-13.000.90-13.00
债券型881010招商资管睿丰三个月持有期债券A1.13972025-03-270.050.03-0.070.923.684.697.3810.0913.971.0213.97
股票型LOF501091嘉实欣荣LOF0.83632025-03-270.05-1.660.422.56-0.564.98-19.39-31.96-8.522.97-16.37
混合型501091嘉实欣荣混合(LOF)A0.83632025-03-270.05-1.660.422.56-0.564.98-19.39-31.96-8.522.97-16.37
债券型380009中银添利债券发起A1.42052025-03-270.050.130.060.041.283.607.7010.0117.69-0.0698.77
混合型257050国联安主题驱动混合A2.68582025-03-270.05-0.711.052.7715.4930.2611.438.1277.313.17196.84
指数型022386华夏中证汽车零部件主题ETF发起式1.11162025-03-270.05-3.82-4.768.2611.1611.1611.1611.1611.1611.3211.16
债券型020286中证兴业中高等级信用债指数C1.17332025-03-270.050.300.390.431.362.934.814.814.810.354.81
股票型018882海富通ESG领先股票A1.17172025-03-270.05-1.350.212.399.3017.1517.1717.1717.172.8517.17
债券型018571华宝安元债券C1.08672025-03-270.05-0.03-0.281.846.797.628.678.678.672.078.67
混合型018054鹏扬景添一年持有混合A1.05092025-03-270.050.10-0.030.131.552.855.095.095.090.185.09
混合型017541安信稳健增益6个月持有混合C1.04252025-03-270.05-0.020.480.342.725.084.254.254.250.464.25
0172361.22452025-03-250.050.100.450.349.859.813.573.993.990.293.99
债券型017017农银瑞泽添利债券A1.06232025-03-270.050.020.480.592.924.095.296.236.230.716.23
股票型016053泰康先进材料股票发起A0.84332025-03-270.05-1.56-4.040.275.085.11-12.39-15.67-15.671.74-15.67
混合型015268招商瑞联1年持有混合A1.04702025-03-270.05-0.37-0.261.103.195.033.564.704.701.444.70
0145821.02872025-03-260.05-0.630.080.803.023.125.294.262.870.752.87
债券型014056太平丰润一年定开债发起式1.00502025-03-270.05-0.070.610.242.816.765.214.580.500.180.50
混合型013102华夏稳福六个月持有混合C1.08192025-03-270.050.030.570.453.485.406.6110.268.190.458.19
混合型011713中信保诚盛裕一年持有混合A0.92982025-03-270.050.190.03-0.29-0.68-1.22-5.14-3.64-7.02-0.55-7.02
混合型010540浙商智多金稳健一年持有期C1.03792025-03-270.05-0.280.300.702.757.927.867.324.810.984.81
混合型005492农银汇理研究驱动混合1.60732025-03-270.050.421.65-0.704.405.701.52-4.0243.05-0.4960.73
混合型005082诺德量化蓝筹增强混合A1.04052025-03-270.05-1.28-0.12-4.1910.7917.090.420.0421.50-3.144.02
债券型003024平安惠金定开债A1.28952025-03-270.05-0.02-0.110.592.432.406.9111.2415.670.6634.54
混合型002227长城新优选混合A1.22412025-03-270.05-0.13-0.06-0.121.903.353.015.3412.91-0.0248.79
混合型002156长盛盛世混合A1.25642025-03-270.05-1.04-1.742.8115.5018.6514.3615.0836.463.9562.47
债券型000899华富恒稳纯债债券C1.10282025-03-270.050.280.20-0.051.272.947.859.2713.15-0.2139.33
债券型550019中信保诚优质纯债债券B1.08042025-03-270.050.18-0.040.260.091.214.047.0613.320.2375.51
债券型550018中信保诚优质纯债债券A1.10172025-03-270.050.17-0.010.360.291.614.928.4415.650.3286.50
股票型LOF163801中银中国LOF0.82062025-03-270.05-1.57-1.75-0.755.945.31-26.15-27.49-23.060.18681.63
混合型163801中银中国混合(LOF)A0.82062025-03-270.05-1.57-1.75-0.755.945.31-26.15-27.49-23.060.18681.63
债券型100072富国强回报定开债A/B1.82212025-03-270.050.300.20-0.041.423.689.0213.3522.15-0.20105.39
债券型023392景顺长城稳健增益债券F1.09562025-03-270.050.300.810.630.630.630.630.630.630.630.63
债券型020388兴业稳福120天持有期债券C1.03972025-03-270.050.210.350.321.303.453.973.973.970.233.97
债券型018479东方红6个月持有债券A1.06132025-03-270.050.180.050.463.315.026.136.136.130.436.13
混合型018430摩根世代趋势混合发起式A0.80042025-03-270.05-2.59-2.209.1812.76-4.59-19.96-19.96-19.969.99-19.96
0152470.95002025-03-250.050.18-0.030.220.601.28-3.37-5.00-5.00-0.02-5.00
0138440.75722025-03-260.05-2.310.533.607.977.15-5.43-10.60-24.284.00-24.28
混合型011458东方鑫享价值成长一年持有混合A0.57072025-03-270.05-0.594.452.489.586.18-26.36-42.65-42.934.62-42.93
混合型011028国寿安保稳弘混合C1.19602025-03-270.05-0.270.504.868.7910.29-2.82-0.5019.605.2219.60
债券型009871景顺长城景瑞收益债券C1.12902025-03-270.050.310.160.001.513.756.989.7914.85-0.1214.85
债券型008536兴银合盛定开债C1.10862025-03-270.050.080.200.511.282.384.736.9910.800.4910.86
债券型008495景顺长城景泰添利一年定开债1.03632025-03-270.050.290.21-0.031.393.688.148.5014.50-0.1914.50
混合型008404华泰紫金泰盈混合A1.33992025-03-270.050.213.566.777.4914.260.167.5739.566.7433.99
混合型007341南方科技创新混合C1.70402025-03-270.05-2.99-9.02-8.033.165.20-19.91-30.369.07-4.1470.40
混合型004362摩根安通回报混合C1.30702025-03-270.05-0.77-1.631.253.175.807.1010.4817.282.1734.38
债券型003776南方宣利定开债A1.16992025-03-270.050.450.480.271.253.598.6713.2920.630.2341.02
债券型002749嘉实稳盛债券1.11932025-03-270.050.060.590.701.697.523.356.306.800.6517.41
混合型002328银华泰利灵活配置混合C1.49192025-03-270.050.170.40-0.69-0.011.42-0.74-1.266.72-0.2339.95
债券型050016博时宏观回报债券A/B1.45812025-03-270.05-0.21-1.25-0.803.164.334.074.978.47-0.5266.60
债券型021267安信180天持有债券A1.01392025-03-270.050.110.240.131.351.391.391.391.390.091.39
债券型017710富国增利债券发起式A1.06392025-03-270.050.280.18-0.061.493.957.997.997.99-0.207.99
0157931.02092025-03-250.050.13-0.01-0.250.200.842.822.092.09-0.312.09
债券型015783创金合信稳健添利债券C1.11932025-03-270.050.080.600.724.638.057.6111.9311.930.7911.93
混合型015273博时恒益稳健一年持有混合C1.09372025-03-270.05-0.09-0.07-0.232.326.577.929.379.37-0.039.37
债券型014452天弘惠享一年定开债券发起1.03612025-03-270.050.370.38-0.153.245.6811.0511.1611.16-0.3711.16
混合型013191国联景惠混合C1.03672025-03-270.050.250.19-0.102.324.325.517.043.67-0.183.67
混合型012344嘉实领先优势混合A0.96672025-03-270.05-3.360.323.667.2919.4211.7811.06-3.333.62-3.33
混合型012077易方达悦夏一年持有混合A1.08852025-03-270.050.040.301.113.934.677.458.788.851.088.85
混合型010941大成安享得利六月持有混合C1.09422025-03-270.05-0.061.102.624.577.317.828.419.422.439.42
混合型010850海富通富利三个月持有混合A1.00422025-03-270.050.120.53-0.452.966.403.462.380.42-0.340.42
混合型008850景顺长城价值稳进定开混合1.62052025-03-270.050.063.283.472.1010.9227.6750.9762.053.3262.05
指数型005795博时中证500指数增强C1.30612025-03-270.05-0.621.052.1314.7417.471.110.7229.154.9034.90
混合型002228长城新优选混合C1.20782025-03-270.05-0.14-0.09-0.241.652.841.983.7610.13-0.1346.34
混合型001314易方达新益混合I2.27432025-03-270.050.170.38-0.770.864.665.736.5736.59-0.95136.44
混合型001165中欧琪和灵活配置混合C1.27762025-03-270.050.170.340.231.763.743.995.3017.450.1644.17
债券型000160富国强回报定开债A/B1.82212025-03-270.050.300.20-0.041.423.689.0213.3522.15-0.20105.39
混合型013903国泰君安信息行业混合发起1.09502024-12-240.050.055.6048.1934.6422.8435.849.509.5020.799.50
债券型970104华创证券创享一年持有债券B1.06922025-03-270.050.100.581.053.895.926.226.626.921.136.92
债券型675100西部利得得尊纯债A1.10982025-03-270.050.12-0.040.653.045.248.6311.7220.940.6241.18
混合型217020招商安达灵活配置混合1.68012025-03-270.05-5.08-11.92-0.828.8112.96-26.41-32.18-2.042.82118.06
债券型163007长信利众债券(LOF)A0.96972025-03-270.05-0.09-0.45-0.141.573.517.1011.2721.860.0251.37
债券型100073富国强回报定开债C1.72752025-03-270.050.290.17-0.141.223.268.1712.0419.66-0.2993.50
债券型022089大成景轩中高等级债券F1.11042025-03-270.050.300.22-0.431.301.331.331.331.33-0.611.33
债券型020414中信保诚优质纯债债券I1.10202025-03-270.050.17-0.020.350.281.602.722.722.720.322.72
债券型018766汇添富稳丰回报债券发起式C1.04252025-03-270.050.15-0.70-1.290.722.914.254.254.25-1.254.25
债券型018506创金合信益久9个月持有期债券A1.08982025-03-270.050.130.400.263.668.478.988.988.980.248.98
混合型018449中欧瑾通灵活配置混合E1.49462025-03-270.050.030.250.604.786.447.897.897.890.577.89
0184281.02672025-03-250.050.23-0.150.071.193.042.672.672.670.022.67
债券型015992长城鑫利30天滚动持有中短债C1.06412025-03-270.050.360.390.201.512.756.086.406.400.106.40
0157921.03082025-03-250.050.130.02-0.150.401.253.643.083.08-0.223.08
0155090.92392025-03-250.050.170.15-0.052.003.14-4.62-7.61-7.610.01-7.61
混合型014678永赢添添悦6个月持有混合A1.10562025-03-270.050.05-0.170.152.956.639.6410.5610.560.1110.56
债券型014137中泰安睿债券A1.00662025-03-270.050.230.12-0.470.582.466.198.458.68-0.558.68
混合型013903国泰君安信息行业混合发起1.09502024-12-240.050.055.6048.1934.6422.8435.849.509.5020.799.50
混合型012406永赢长远价值混合A0.58802025-03-270.05-0.810.98-0.36-3.834.130.27-19.90-41.200.81-41.20
混合型010228平安鼎弘混合(LOF)C1.08042025-03-270.05-0.92-0.53-1.020.944.135.331.89-0.30-1.15-0.30
混合型009249易方达磐泰一年持有期混合A1.19292025-03-270.050.090.560.281.514.538.629.8319.290.1819.29
债券型007537景顺长城景泰盈利纯债1.19732025-03-270.050.350.24-0.011.594.279.4813.7222.88-0.2028.05
混合型007340南方科技创新混合A1.79032025-03-270.05-2.97-8.96-7.853.826.31-18.42-28.4913.78-3.9679.03
债券型003167前海开源鼎瑞债券A1.07052025-03-270.050.220.06-0.402.713.267.197.009.74-0.4625.22
混合型002601中银证券价值精选混合1.09452025-03-270.05-1.26-2.15-1.040.34-7.27-35.19-28.696.420.849.45
债券型485111工银瑞信双利债券A1.86402025-03-270.05-0.110.27-0.162.314.435.739.7117.60-0.05141.03
混合型240005华宝多策略增长A0.40522025-03-270.05-2.20-3.39-2.766.66-0.30-18.67-18.632.36-1.65487.96
混合型022285鹏华弘实混合E1.00862025-03-270.050.120.220.190.860.860.860.860.860.130.86
债券型021954金鹰添盈纯债债券D1.01002025-03-270.050.280.280.08-0.04-0.95-0.95-0.95-0.95-0.03-0.95
混合型021513富国港股通红利精选混合A1.11902025-03-270.05-0.592.238.6410.5411.9011.9011.9011.908.0611.90
债券型020521华商安恒债券A1.08452025-03-270.05-0.17-0.751.116.968.458.458.458.451.368.45
混合型020354农银瑞益一年持有混合A1.03462025-03-270.05-0.110.070.091.782.973.463.463.460.043.46
债券型020281南方宣利定开债券E1.16992025-03-270.050.450.480.271.253.595.105.105.100.235.10
混合型019293长江长扬混合发起A1.07282025-03-270.05-3.17-6.231.138.709.567.287.287.282.207.28
0184291.02262025-03-250.050.23-0.170.011.072.792.262.262.26-0.042.26
0173330.93092025-03-250.050.170.170.012.143.43-4.00-4.24-4.240.08-4.24
0159991.02472025-03-250.050.03-0.180.848.267.123.182.472.470.992.47
债券型015805景顺长城景颐尊利债券A1.10792025-03-270.05-0.130.710.922.426.849.9010.7910.790.9410.79
0138450.74742025-03-260.05-2.330.513.527.836.80-6.12-11.61-25.263.92-25.26
0135291.01792025-03-250.05-0.080.330.924.876.354.093.481.780.921.78
债券型013380景顺长城景泰纯利债券C1.16502025-03-270.050.220.020.393.485.539.0110.2210.220.3710.22
混合型011397招商瑞和1年持有期混合A1.11892025-03-270.05-0.200.170.651.732.265.708.3511.890.5811.89
混合型009318南方成长先锋混合A0.61362025-03-270.05-3.11-9.98-10.79-2.430.07-18.60-34.67-38.65-6.72-38.65
债券型006774国寿安保尊荣中短债债券C1.15142025-03-270.050.180.420.370.971.965.968.2313.920.2819.27
混合型004413建信民丰回报混合1.23722025-03-270.05-0.20-0.16-0.521.552.261.073.218.99-0.3423.72
债券型000517富国祥利一年期定期开放债券型C1.15212025-03-270.050.300.14-0.101.153.097.9711.3419.55-0.2342.01
混合型519110浦银安盛价值成长混合A1.11702025-03-270.05-2.08-4.050.2713.5914.15-11.34-25.0217.461.8384.85
债券型261002景顺长城优信增利债券A1.06232025-03-270.050.16-0.02-0.211.594.107.019.4014.54-0.3772.09
混合型200015长城优化升级混合A3.81882025-03-270.05-1.45-1.5310.2216.6920.54-15.43-21.0869.1211.24327.35
混合型022496嘉实红利精选混合发起式C0.99982025-03-270.050.080.300.02-0.02-0.02-0.02-0.02-0.020.00-0.02
债券型021493摩根丰瑞债券D1.02892025-03-270.050.190.310.061.943.173.173.173.17-0.093.17
0152460.96002025-03-250.050.19-0.010.320.811.68-2.59-4.00-4.000.07-4.00
混合型015126易方达悦鑫一年持有混合C1.03792025-03-270.050.000.090.993.393.124.013.793.790.973.79
混合型014679永赢添添悦6个月持有混合C1.09702025-03-270.050.04-0.190.092.836.339.019.709.700.049.70
混合型014045银华积极成长混合C1.52452025-03-270.050.152.19-0.44-0.483.58-16.78-19.77-35.250.16-35.25
混合型014037博时成长回报混合C0.76862025-03-270.05-4.34-7.519.8033.2322.72-10.34-14.02-23.1412.60-23.14
债券型010254嘉实丰年一年定期纯债债券A1.10002025-03-270.050.26-0.15-0.691.313.708.3110.6313.24-0.7513.24
混合型009957广发恒誉混合C1.03972025-03-270.050.12-0.021.545.284.63-0.472.923.971.753.97
混合型009269创金合信稳健增利6个月持有期C1.18962025-03-270.050.120.42-0.581.203.399.7515.9218.96-0.7618.96
债券型006012中信保诚稳鸿C1.06302025-03-270.050.180.520.301.203.228.5311.6615.450.2422.06
债券型005852中银添利债券发起C1.39022025-03-270.050.130.040.011.203.457.379.5116.49-0.0930.31
债券型004585鹏扬汇利债券A1.13402025-03-270.050.000.56-0.053.656.654.747.2115.360.1034.80
混合型003839易方达瑞通灵活配置混合A2.03192025-03-270.050.110.28-0.831.736.2310.3812.1546.21-0.94103.19
债券型003301华夏鼎融债券A1.08202025-03-270.05-0.050.460.243.355.116.585.8623.020.2935.11
混合型001503南方利鑫C1.52882025-03-270.050.240.26-0.031.565.002.673.7227.74-0.1059.57
债券型162299宏利集利债券C1.20892025-03-270.05-0.07-1.29-1.492.405.495.816.9819.84-1.43123.76
债券型020998南方臻利3个月定开债券发起C1.04112025-03-270.050.290.250.031.311.801.801.801.80-0.061.80
债券型020747泰信添安增利九个月持有期债券C1.01432025-03-270.050.100.140.331.121.431.431.431.430.251.43
0197251.02032025-03-260.050.080.040.331.132.032.032.032.030.152.03
混合型019294长江长扬混合发起C1.06612025-03-270.05-3.18-6.261.038.489.126.616.616.612.106.61
债券型018508创金合信益久9个月持有期债券E1.08862025-03-270.050.120.360.163.578.368.868.868.860.148.86
债券型017473中信建投景荣债券A1.05572025-03-270.050.54-0.20-0.562.094.9910.4511.0811.08-0.8611.08
债券型015806景顺长城景颐尊利债券C1.09582025-03-270.05-0.130.690.832.196.388.999.589.580.869.58
混合型014054太平睿庆混合C1.03902025-03-270.05-0.27-0.02-0.150.515.071.687.173.90-0.363.90
混合型013274长城优化升级混合C3.73722025-03-270.05-1.47-1.5810.0616.3419.82-16.45-22.50-23.5211.09-23.52
混合型013101华夏稳福六个月持有混合A1.09262025-03-270.050.040.600.533.645.727.2511.279.260.529.26
混合型010246华泰柏瑞量化先行混合C1.97502025-03-270.05-1.050.303.1315.4317.700.000.5110.035.2210.03
混合型009297南方誉慧一年混合C1.14052025-03-270.05-0.160.781.393.347.843.086.8714.051.3814.05
混合型009098景顺长城价值领航两年持有2.03122025-03-270.05-0.093.674.692.9112.4130.2956.23102.254.57103.12
债券型007647平安季享裕定开债E1.08682025-03-270.050.00-0.110.753.574.287.2810.7918.850.7923.68
混合型005630华安研究精选混合A1.85072025-03-270.05-3.40-5.46-3.63-3.76-1.73-19.39-21.3240.11-3.15106.91
混合型001379景顺长城领先回报混合C1.86702025-03-270.05-0.270.16-0.481.143.042.474.5926.490.1196.68
债券型000174汇添富高息债债券A1.73172025-03-270.050.07-0.160.761.433.247.038.718.980.7677.60
债券型261102景顺长城优信增利债券C1.06012025-03-270.050.15-0.05-0.301.523.836.918.8613.14-0.4666.39
债券型022240嘉实丰益纯债定期债券C1.01292025-03-270.050.390.24-0.061.821.821.821.821.82-0.191.82
债券型018491格林聚合增强债券A1.08842025-03-270.05-0.82-1.522.216.247.538.838.838.832.588.83
债券型017463中信保诚优质纯债债券C1.09892025-03-270.050.18-0.020.370.281.554.675.875.870.345.87
债券型015603国泰君安君得盛债券C1.17402025-03-270.050.040.73-0.102.333.710.780.950.95-0.140.95
混合型014546浦银兴耀优选一年持有混合C0.65892025-03-270.05-2.12-4.15-0.1713.1212.46-15.26-34.11-34.111.43-34.11
指数型013881长信中证500指数增强C1.47612025-03-270.05-0.491.282.0015.0920.852.09-4.45-9.324.05-9.32
股票型013881长信中证500指数增强C1.47612025-03-270.05-0.491.282.0015.0920.852.09-4.45-9.324.05-9.32
0134211.06902025-03-250.05-0.010.410.706.235.996.116.906.900.616.90
债券型012539东方兴润债券A1.04052025-03-270.050.280.380.331.553.967.858.845.480.265.48
混合型011510国寿安保稳鑫一年持有混合A0.96872025-03-270.05-0.38-1.45-1.630.072.01-4.40-4.28-1.25-1.76-1.25
混合型010851海富通富利三个月持有混合C0.98982025-03-270.050.110.51-0.542.776.022.671.19-1.02-0.43-1.02
混合型010545中加聚隆持有期混合A1.08142025-03-270.05-0.07-0.61-0.561.112.211.405.888.14-0.528.14
债券型010255嘉实丰年一年定期纯债债券C1.08532025-03-270.050.25-0.19-0.791.113.287.449.3011.52-0.8511.52
债券型007332嘉合磐昇纯债A1.12582025-03-270.050.250.06-0.441.222.046.149.3015.93-0.6120.10
混合型007251广发睿享稳健增利混合A0.97242025-03-270.05-0.110.09-0.161.934.950.19-3.06-5.75-0.24-2.76
债券型006717平安惠金定开债C1.28122025-03-270.05-0.02-0.120.562.382.306.7010.9115.100.6323.15
混合型006260汇添富红利增长混合C1.47462025-03-270.05-0.410.902.522.9410.066.22-10.7540.182.4447.46
债券型004586鹏扬汇利债券C1.11592025-03-270.05-0.010.53-0.153.446.233.905.9313.080.0130.68
债券型881012招商资管智远增利债券A1.12152025-03-270.04-0.04-0.580.592.302.979.4312.7712.150.6812.15
债券型880011招商资管智远增利债券D1.27602025-03-270.04-0.04-0.570.612.322.998.528.618.020.698.02
债券型550005中信保诚三得益债券B1.14672025-03-270.040.120.17-0.490.081.981.983.9615.10-0.5098.15
混合型540004汇丰晋信2026周期混合3.27722025-03-270.04-0.500.501.334.448.799.0113.0352.661.78415.73
债券型519972长信纯债一年定开债C1.03592025-03-240.040.00-0.43-0.640.693.238.7413.4722.05-0.8087.13
债券型519519华泰柏瑞稳本增利债券A1.02822025-03-270.04-0.62-0.31-0.720.361.762.5215.9119.71-0.49100.43
基金中的基金501222如意招享FOF1.00922025-03-260.04-0.050.220.652.311.420.310.920.920.530.92
指数型070030嘉实中创400ETF联接A1.78912025-03-270.04-3.30-3.381.8323.1222.81-2.171.1922.875.5178.91
债券型021452富国绿色纯债一年定开债券C1.23052025-03-270.040.260.20-0.131.391.901.901.901.90-0.241.90
QDII型018578摩根恒生科技ETF发起式联接(QDII)1.29802025-03-270.04-4.31-4.7020.3525.5158.1829.8029.8029.8022.1129.80
债券型017817鹏扬裕利三年封闭式债券1.05172025-03-270.040.180.360.501.633.237.237.237.230.457.23
混合型017600华夏行业甄选混合A0.97642025-03-270.04-1.55-1.355.5810.8825.71-2.36-2.36-2.367.00-2.36
混合型017575华夏稳兴增益一年持有混合A1.05552025-03-270.040.020.370.492.604.475.555.555.550.465.55
债券型017053南方ESG纯债债券发起A1.06162025-03-270.040.200.17-0.021.513.726.166.166.16-0.176.16
混合型014871大摩科技领先混合C1.62152025-03-270.04-2.91-5.262.2031.8135.762.56-0.49-18.585.57-18.58
债券型014297摩根月月盈30天滚动持有发起式短1.09312025-03-270.040.200.330.331.042.335.768.319.310.259.31
债券型012623金鹰添盈纯债债券C1.01472025-03-270.040.280.280.07-0.051.15137.07137.98109.60-0.04109.60
债券型012146中欧稳宁9个月持有债券C1.09332025-03-270.040.05-0.140.856.287.819.519.149.331.029.33
债券型012145中欧稳宁9个月持有债券A1.10802025-03-270.040.05-0.110.936.478.1910.2810.3010.801.1010.80
债券型009203鹏扬稳利债券A1.17642025-03-270.040.200.270.231.924.128.2811.8617.640.1517.64
债券型009000景顺景颐嘉利6个月持有期债券C1.21762025-03-270.04-0.290.070.263.266.787.619.5521.760.4721.76
债券型008352交银裕坤纯债一年定期开放债券A1.05462025-03-270.040.300.230.051.723.347.5610.8717.19-0.0918.03
债券型006423嘉合磐稳纯债C1.07842025-03-270.040.220.21-0.201.433.497.6611.3114.78-0.2924.38
混合型005524泰康颐年混合C1.31942025-03-270.040.030.090.562.053.825.359.7820.460.5131.94
混合型004100鹏华安益增强混合D1.35812025-03-270.040.100.200.190.352.051.390.9219.170.1639.01
债券型003949兴全稳泰债券A1.19122025-03-270.040.320.380.241.643.218.2511.6919.900.0940.04
债券型002587金鹰添利信用债债券C1.11372025-03-270.04-0.26-0.603.5013.1810.874.1710.4920.024.2540.54
混合型000689前海开源新经济混合A2.09702025-03-270.04-3.46-0.630.3510.828.99-25.77-30.01104.192.08130.46
混合型000029富国宏观策略灵活配置混合A2.39302025-03-270.04-1.64-3.43-1.7213.5721.41-15.11-22.031.87-0.37178.15
债券型881011招商资管睿丰三个月持有期债券C1.12542025-03-270.040.02-0.100.843.524.386.729.0912.540.9312.54
混合型673020西部利得成长精选混合1.71162025-03-270.04-0.730.182.016.894.370.21-1.2943.833.0571.16
债券型550004中信保诚三得益债券A1.17012025-03-270.040.120.17-0.480.092.052.314.7116.94-0.50112.01
债券型022114前海开源弘泽债券D1.12332025-03-270.04-0.02-0.230.262.062.362.362.362.360.212.36
债券型021554兴业恒悦180天持有期债券A1.03982025-03-270.040.150.091.073.773.983.983.983.980.873.98
债券型021268安信180天持有债券C1.01272025-03-270.040.100.220.071.241.271.271.271.270.041.27
债券型020742交银裕坤纯债一年定期开放债券C1.12112025-03-270.040.330.390.121.482.872.832.832.83-0.022.83
0203461.00502025-03-260.04-0.060.200.572.121.082.742.742.740.462.74
0173471.13992025-03-250.04-0.57-0.190.524.424.933.855.005.000.575.00
0152621.04912025-03-260.04-0.53-0.280.593.734.354.174.914.910.744.91
混合型015080永赢成长远航一年持有混合C0.82432025-03-270.04-5.69-7.191.9314.9018.28-11.36-17.57-17.573.15-17.57
债券型013546财通资管鸿享30天滚动中短债A1.06552025-03-270.040.290.16-0.161.553.798.5111.4913.55-0.2713.55
混合型013157前海开源新经济混合C2.07452025-03-270.04-3.47-0.650.2910.668.66-26.21-30.63-31.302.01-31.30
混合型012079信澳新能源精选混合A1.59562025-03-270.04-2.37-3.8414.0438.8356.8047.4821.9759.5616.4959.56
混合型010819安信稳健回报6个月混合A1.14882025-03-270.040.040.450.925.008.156.9812.0214.881.1314.88
指数型010253兴银中证500指数增强A0.94212025-03-270.04-1.160.532.3413.9315.50-2.01-5.41-5.795.03-5.79
债券型009081中信保诚嘉丰一年定开债发起式1.03472025-03-270.040.34-0.25-0.661.393.797.249.8215.01-0.7315.05
债券型008999景顺景颐嘉利6个月持有期债券A1.24142025-03-270.04-0.280.100.353.467.208.4810.8724.140.5624.14
债券型007552中信建投稳裕定开债C1.04482025-03-270.040.19-0.20-0.321.453.158.7211.1716.14-0.5019.75
债券型006985兴全恒裕债券A1.16452025-03-270.040.340.340.151.643.248.0211.6917.170.0222.85
债券型006742南方臻元债券A1.15332025-03-270.040.230.370.111.763.818.3510.9316.150.0022.78
债券型005302前海开源弘泽债券发起式C1.12332025-03-270.04-0.02-0.230.262.773.505.376.356.920.2186.55
混合型004437汇添富年年泰定开混合C1.22722025-03-270.040.420.32-0.192.164.23-1.180.121.05-0.3222.72
股票型004404平安股息精选沪港深C1.27122025-03-270.04-0.080.850.843.485.037.131.3628.830.0727.12
债券型003777南方宣利定开债C1.14002025-03-270.040.440.440.181.043.177.7911.9218.230.1336.46
债券型003730博时富华纯债债券A1.05252025-03-270.040.250.00-0.502.984.948.2610.5315.55-0.6537.47
债券型003696国泰润鑫定开债发起式1.04392025-03-270.040.220.320.161.453.479.7713.7718.660.0638.52
债券型003255前海开源鼎裕债券C1.02852025-03-270.04-0.040.011.575.422.73-13.48-13.58-16.101.5866.12
债券型002488汇添富稳添利定期开放债券C1.07972025-03-270.040.27-0.16-0.72-0.092.465.388.9513.73-0.7421.92
债券型011955招商招祥纯债D1.13892024-06-270.040.100.541.510.000.000.000.001.610.001.61
债券型675113西部利得汇享债券C1.30892025-03-270.040.06-0.020.853.926.419.2312.4122.120.8851.39
债券型400030东方添益债券1.37542025-03-270.040.280.240.311.914.5910.9615.3825.760.1066.50
债券型023406汇添富纯债(LOF)B0.83892025-03-270.040.390.16-0.78-0.78-0.78-0.78-0.78-0.78-0.78-0.78
债券型022011华富祥晖6个月持有期债券C1.00482025-03-270.040.250.310.140.480.480.480.480.480.080.48
债券型021553广发景裕纯债C0.99832025-03-270.040.200.18-0.17-0.17-0.17-0.17-0.17-0.17-0.17-0.17
债券型021548富国稳健双鑫债券A1.03082025-03-270.040.110.380.372.293.083.083.083.080.433.08
债券型020337富达90天债券A1.01242025-03-270.040.21-0.29-1.08-0.360.901.241.241.24-1.081.24
债券型019647华安双债添利债券E1.35022025-03-270.040.17-0.24-0.211.923.573.563.563.56-0.243.56
债券型019539鹏华丰玉债券C1.05012025-03-270.040.240.18-0.051.593.755.965.965.96-0.215.96
混合型017601华夏行业甄选混合C0.96482025-03-270.04-1.57-1.405.4210.5524.96-3.52-3.52-3.526.86-3.52
0173201.14642025-03-250.04-0.04-0.250.242.622.574.904.224.220.284.22
混合型017299汇添富添添鑫多元收益9个月持有混1.06752025-03-270.04-0.79-2.191.995.577.876.756.756.751.676.75
混合型014760中欧琪福混合C1.06902025-03-270.04-0.17-0.210.693.284.985.086.906.900.866.90
0145831.01732025-03-260.04-0.630.050.712.842.764.553.161.730.661.73
债券型013788华泰柏瑞信用增利债(LOF)B1.18842025-03-270.04-0.52-0.540.702.403.431.5113.4313.580.8113.58
0129590.93492025-03-260.040.020.710.872.293.50-5.60-6.18-6.510.81-6.51
混合型012954华泰柏瑞恒利混合C1.15792025-03-270.04-0.020.030.392.185.4710.4917.8018.180.5318.18
债券型011955招商招祥纯债D1.13892024-06-270.040.100.541.510.000.000.000.001.610.001.61
混合型011061广发安悦回报混合C1.21442025-03-270.040.020.080.282.113.535.786.3611.060.2611.06
混合型010043天弘安康颐和混合A1.06132025-03-270.040.140.350.482.544.39-0.510.469.240.409.24
债券型008493鹏华尊泰一年定开发起式债券1.02742025-03-270.040.240.12-0.422.423.528.4012.3020.77-0.5922.08
债券型008207国泰合融纯债债券A1.09792025-03-270.040.230.270.251.463.298.3712.1420.030.1422.12
债券型007681鹏华丰登债券1.03792025-03-270.040.140.23-0.351.883.717.4910.1115.89-0.4418.86
债券型007584鹏华丰鑫债券A1.06942025-03-270.040.180.330.181.975.8410.1412.1019.690.0624.66
债券型005531华安安悦债券A1.05522025-03-270.040.240.100.291.623.357.089.9116.010.2328.95
债券型003549浙商惠裕纯债A1.03452025-03-270.040.190.25-0.491.252.945.669.3417.84-0.5132.21
混合型002120广发安悦回报混合A1.18092025-03-270.040.030.080.302.153.625.996.6619.600.2846.66
债券型000131大成景兴信用债债券C1.55142025-03-270.040.050.030.452.664.988.5411.1021.390.3997.21
0130890.83912024-12-200.04-0.99-0.6613.104.744.91-10.410.00-16.092.92-16.09
混合型900077中信证券信远一年持有混合B0.46042025-03-270.040.241.481.015.197.62-20.68-35.87-39.160.99-39.16
债券型519186万家稳健增利债券A1.01012025-03-270.040.470.15-0.221.27-0.401.783.159.38-0.36101.57
0220751.00622025-03-250.040.220.110.020.620.620.620.620.62-0.090.62
债券型021416国富中债绿色普惠金融债券指数A1.01652025-03-270.040.130.29-0.081.252.162.162.162.16-0.132.16
债券型021352博时富华纯债债券C1.05692025-03-270.040.240.00-0.502.964.874.874.874.87-0.664.87
债券型020605长城稳健增利债券E1.17702025-03-270.040.310.300.190.952.673.903.903.900.083.90
债券型018080鹏华稳健添利债券A1.06672025-03-270.040.030.530.091.644.196.676.676.67-0.046.67
混合型017933国泰君安高端装备混合发起A0.84982025-03-270.04-1.85-0.492.790.505.25-13.95-15.02-15.022.05-15.02
0175951.04542025-03-260.04-0.050.210.263.033.624.544.544.540.074.54
混合型016297中欧丰泰港股通混合A1.18432025-03-270.04-3.50-0.5112.042.8913.496.6718.4318.4312.2518.43
股票型016054泰康先进材料股票发起C0.83222025-03-270.04-1.57-4.090.144.844.60-13.26-16.78-16.781.61-16.78
混合型012236中银持续增长混合C0.28462025-03-270.04-1.56-1.76-1.595.496.99-15.55-24.74-26.11-0.63-26.11
混合型011517嘉实浦盈一年持有期混合C1.03722025-03-270.04-0.26-0.170.501.202.114.504.783.720.473.72
混合型011303易方达悦盈一年持有混合C1.06432025-03-270.040.060.230.953.604.237.047.316.430.936.43
债券型009496大成景轩中高等级债券C1.09762025-03-270.040.290.19-0.461.153.577.659.9114.64-0.6414.64
混合型009246大摩ESG量化混合0.89882025-03-270.04-0.281.002.909.3615.59-0.61-12.26-10.124.40-10.12
债券型008996中银证券安沛债券C1.09632025-03-270.040.200.19-0.201.742.537.299.1713.09-0.4013.09
债券型008685宝盈盈旭纯债债券C1.03742025-03-270.040.240.16-0.300.802.727.656.618.79-0.408.79
股票型008537兴银研究精选股票A0.89602025-03-270.04-2.74-2.810.4718.3618.39-0.46-12.93-10.402.83-10.40
0074021.11202025-03-250.04-0.05-0.310.042.221.773.252.769.410.1011.20
0074011.13592025-03-250.04-0.05-0.280.132.432.184.084.0011.600.1913.59
债券型006987平安季添盈定开债C1.08532025-03-270.040.280.360.231.102.857.0510.4716.600.1120.59
混合型006785东方量化多策略混合A0.80862025-03-270.04-2.820.046.3423.9023.54-1.74-10.52-15.659.98-19.15
0062941.21162025-03-250.04-0.310.070.303.893.761.941.9713.640.2221.16
债券型000801中金纯债A1.23972025-03-270.040.320.230.021.072.967.2010.9616.56-0.0645.76
债券型970213中信建投悦享6个月持有期债券A1.12272025-03-270.040.180.100.321.733.475.115.115.110.205.11
债券型865048光大阳光北斗星9个月持有债A1.03872025-03-270.040.100.470.222.122.440.063.873.870.313.87
债券型090017大成可转债增强债券A1.62182025-03-270.04-1.81-1.435.3013.7813.892.264.9738.856.3563.70
混合型023526凯石元鑫混合发起式A1.00012025-03-270.040.000.010.010.010.010.010.010.010.010.01
债券型021394富荣富祥纯债C1.03272025-03-270.040.31-0.20-0.440.942.822.822.822.82-0.702.82
混合型021286广发安盈混合E1.51152025-03-270.040.170.110.202.935.645.645.645.640.175.64
混合型020098万家惠诚回报平衡一年持有期混合A1.01612025-03-270.04-0.30-0.260.371.892.422.432.432.430.402.43
债券型018081鹏华稳健添利债券C1.06252025-03-270.040.020.500.051.533.976.256.256.25-0.086.25
债券型017474中信建投景荣债券C1.04702025-03-270.040.54-0.23-0.631.744.449.5710.1910.19-0.9410.19
混合型014905易方达悦稳一年持有混合C1.06892025-03-270.040.020.250.933.554.015.767.086.890.906.89
混合型014759中欧琪福混合A1.08182025-03-270.04-0.16-0.180.793.485.405.938.188.180.958.18
0135390.99152025-03-250.04-0.060.451.034.014.20-0.20-0.85-0.851.04-0.85
混合型013030嘉实鑫泰一年持有混合C1.02842025-03-270.040.09-1.19-0.262.434.933.054.062.84-0.442.84
混合型012826工银聚宁9个月持有期混合A1.08062025-03-270.04-0.010.551.484.679.878.6614.238.061.438.06
混合型012335上银慧尚6个月持有期混合C1.02382025-03-270.040.05-0.13-1.070.942.753.244.472.38-0.652.38
混合型012292泰康鼎泰一年持有期混合A1.02892025-03-270.040.100.21-0.361.353.123.496.532.89-0.532.89
混合型010820安信稳健回报6个月混合C1.11972025-03-270.040.030.390.764.677.505.7010.0211.970.9811.97
混合型010546中加聚隆持有期混合C1.06412025-03-270.04-0.08-0.63-0.660.911.800.584.616.41-0.626.41
债券型010474华富安华债券C1.03902025-03-270.04-0.06-0.130.441.512.96-0.560.973.900.763.90
混合型010007南方誉鼎一年持有期混合C1.03562025-03-270.04-0.020.750.282.445.470.563.353.560.363.56
债券型009104新华纯债添利债券发起B1.07782025-03-270.040.270.17-0.210.711.995.437.3011.72-0.3411.88
混合型008851景顺长城量化对冲策略三个月定期1.03472025-03-270.04-0.050.300.491.62-1.20-0.03-0.413.440.283.47
债券型007969西部利得得尊纯债C1.10262025-03-270.040.11-0.050.582.904.988.0710.8719.430.5623.80
债券型007175国联聚通定期开放债券1.07932025-03-270.040.180.19-0.221.244.2010.1714.2220.97-0.3124.84
债券型005532华安安悦债券C1.05242025-03-270.040.240.100.261.573.236.869.5615.400.2029.33
混合型004436汇添富年年泰定开混合A1.28722025-03-270.040.430.37-0.052.464.860.021.944.12-0.1828.72
混合型001315易方达新益混合E2.99572025-03-270.040.170.37-0.800.734.425.335.9335.20-0.97211.22
债券型000197富国目标收益一年期纯债债券1.10592025-03-270.040.26-0.13-0.330.943.898.3011.2718.30-0.4470.04
0130900.83412024-12-200.04-1.00-0.6813.054.644.71-10.760.00-16.592.72-16.59
债券型162210宏利集利债券A1.17412025-03-270.04-0.07-1.26-1.402.605.926.678.2822.30-1.34139.35
混合型080012长盛电子信息产业混合A1.38852025-03-270.04-2.61-7.843.5721.8322.11-14.75-15.95-13.917.36196.34
债券型023139南方ESG纯债债券发起C1.05992025-03-270.040.200.14-0.58-0.58-0.58-0.58-0.58-0.58-0.58-0.58
债券型023041中欧多利债券C0.99862025-03-270.040.00-0.12-0.14-0.14-0.14-0.14-0.14-0.14-0.14-0.14
债券型021803华商鸿信纯债债券1.01562025-03-270.040.250.310.101.441.561.561.561.560.001.56
债券型021555兴业恒悦180天持有期债券C1.03792025-03-270.040.140.060.993.623.793.793.793.790.813.79
债券型020739鹏华稳益180天持有期债券A1.02882025-03-270.040.130.230.191.322.842.882.882.880.082.88
债券型019775长城稳健增利债券D1.18212025-03-270.040.310.310.211.012.786.706.706.700.106.70
混合型019719摩根悦享回报6个月持有期混合C1.00652025-03-270.04-0.13-0.15-0.060.610.650.650.650.65-0.230.65
混合型016529广发稳宏一年持有混合C1.06482025-03-270.04-0.66-0.322.335.479.066.486.486.482.056.48
0152981.02622025-03-250.040.230.210.732.663.534.452.622.620.722.62
债券型015209华夏鼎成一年定开债券发起式1.13612025-03-270.040.190.290.161.103.6511.6213.6113.610.1013.61
股票型014863建信信息产业股票C2.31302025-03-270.04-3.30-5.243.1715.1310.09-14.99-21.46-21.436.39-21.43
混合型014276易方达北交所精选两年定开混合C1.46022025-03-270.04-1.90-3.0219.5494.2282.4665.2653.8846.8524.6146.85
0130900.83412024-12-200.04-1.00-0.6813.054.644.71-10.760.00-16.592.72-16.59
0129600.92792025-03-260.040.030.690.812.163.24-6.06-6.88-7.210.76-7.21
0125080.99012025-03-250.040.090.480.842.243.740.922.35-0.990.87-0.99
混合型011714中信保诚盛裕一年持有混合C0.91582025-03-270.040.180.00-0.39-0.89-1.62-5.91-4.79-8.42-0.65-8.42
混合型011302易方达悦盈一年持有混合A1.08212025-03-270.040.060.261.053.804.657.908.618.211.038.21
混合型011249嘉实稳裕混合A1.14242025-03-270.040.020.190.131.454.1210.9713.2714.240.1714.24
混合型009558嘉实稳惠6个月持有期混合A1.07302025-03-270.04-0.35-0.540.421.472.083.893.807.300.387.30
债券型006596国泰聚禾纯债债券1.08852025-03-270.040.220.260.241.603.878.9413.0719.690.1126.25
债券型006027国投瑞银顺祥债券1.01992025-03-270.040.150.300.001.182.946.7310.0617.37-0.0628.18
混合型005519银华混改红利灵活配置混合发起式A1.12042025-03-270.040.962.33-0.564.07-3.89-26.24-26.83-7.66-0.8812.04
债券型005338兴业3个月定开债券1.02972025-03-270.040.200.26-0.141.293.638.0212.1418.28-0.2930.93
债券型003192创金合信尊丰纯债A1.14352025-03-270.040.180.330.091.242.256.369.5415.590.0035.75
混合型002934泰康恒泰回报混合A1.06232025-03-270.04-0.240.080.903.014.915.482.4020.261.2144.44
混合型002322银华汇利灵活配置混合C1.71122025-03-270.040.230.370.070.481.744.023.8311.480.0235.59
债券型519972长信纯债一年定开债C1.03592025-03-240.040.00-0.43-0.640.693.238.7413.4722.05-0.8087.13
股票型164905交银国证新能源指数(LOF)A0.95442025-03-270.04-1.75-2.251.739.5014.19-18.50-28.1849.172.780.24
股票型070030嘉实中创400ETF联接A1.78912025-03-270.04-3.30-3.381.8323.1222.81-2.171.1922.875.5178.91
股票型018386招商中证全指软件ETF发起式联接C0.83702025-03-270.04-5.52-8.812.3429.1326.40-16.30-16.30-16.307.28-16.30
股票型018385招商中证全指软件ETF发起式联接A0.84302025-03-270.04-5.51-8.792.4329.3726.88-15.70-15.70-15.707.37-15.70
股票型013442建信中证1000指数增强E1.62382025-03-270.04-1.87-0.504.0523.6322.00-2.836.14-3.066.98-3.06
股票型013188华夏能源革新股票C2.32602025-03-270.04-1.02-1.900.224.732.29-20.42-30.96-40.680.87-40.68
股票型013049兴业能源革新股票A0.77162025-03-270.04-1.11-3.023.1414.1415.49-3.25-8.63-22.844.60-22.84
股票型010253兴银中证500指数增强A0.94212025-03-270.04-1.160.532.3413.9315.50-2.01-5.41-5.795.03-5.79
股票型006166建信中证1000指数增强C1.62332025-03-270.04-1.87-0.504.0523.6422.01-2.836.1258.266.99119.46
股票型006165建信中证1000指数增强A1.66682025-03-270.04-1.86-0.474.1623.8922.50-2.057.4161.467.09125.07
股票型005727嘉实中创400ETF联接C1.06362025-03-270.04-3.31-3.411.7322.8922.34-2.95-0.0220.475.426.36
股票型005062博时中证500指数增强A1.34292025-03-270.04-0.611.082.2414.9617.931.921.9431.775.0034.29
股票型003834华夏能源革新股票A2.37702025-03-270.04-1.00-1.860.345.042.90-19.48-29.72121.740.98137.70
混合型009145博时荣升稳健添利混合C1.13622025-01-270.040.00-0.112.0911.217.521.473.6313.62-0.1313.62
债券型372010摩根强化回报债券A1.61512025-03-270.04-0.29-0.340.101.784.363.065.8913.560.1669.53
债券型LOF161014富国汇利定开1.36392025-03-270.04-0.01-0.160.674.625.046.7710.0820.240.76125.01
债券型161014富国汇利回报两年定期开放债券1.36392025-03-270.04-0.01-0.160.674.625.046.7710.0820.240.76125.01
混合型022369鹏华安益增强混合A1.00182025-03-270.040.100.190.140.180.180.180.180.180.110.18
债券型021395创金合信尊丰纯债C1.14282025-03-270.040.190.340.111.231.771.771.771.770.011.77
债券型020740鹏华稳益180天持有期债券C1.02682025-03-270.040.130.220.151.222.652.682.682.680.032.68
债券型019851汇添富稳宏6个月持有债券A1.00202025-03-270.040.30-0.51-1.340.440.200.200.200.20-1.410.20
债券型018830汇添富稳健回报债券A1.05332025-03-270.04-0.02-0.13-0.322.925.185.335.335.33-0.265.33
混合型018603永赢鑫欣混合C1.14142025-03-270.040.00-0.310.566.1410.4822.9822.9822.980.5522.98
债券型018575鑫元慧享纯债3个月定开A1.05422025-03-270.040.270.240.051.514.127.177.177.17-0.117.17
债券型014448安信永宁一年定开债发起式1.04372025-03-270.040.240.230.091.524.3311.3615.7016.04-0.0216.04
混合型013029嘉实鑫泰一年持有混合A1.04212025-03-270.040.10-1.16-0.162.565.273.795.244.21-0.354.21
债券型012774前海开源丰和债券A1.01862025-03-270.040.150.300.000.690.813.025.677.24-0.047.24
债券型012750上银慧鼎利债券A1.03192025-03-270.040.260.25-0.082.133.536.439.3010.94-0.2410.94
债券型009495大成景轩中高等级债券A1.11242025-03-270.040.310.23-0.391.383.948.3210.9316.16-0.5616.16
混合型009145博时荣升稳健添利混合C1.13622025-01-270.040.00-0.112.0911.217.521.473.6313.62-0.1313.62
债券型007201民生加银聚益纯债1.07302025-03-270.040.26-0.04-0.541.313.648.3711.3016.83-0.6819.95
债券型006828银河久泰债券A1.14042025-03-270.040.30-0.18-0.053.8412.8117.6620.9727.80-0.1840.51
指数型006165建信中证1000指数增强A1.66682025-03-270.04-1.86-0.474.1623.8922.50-2.057.4161.467.09125.07
混合型003805华安新恒利混合A1.40962025-03-270.040.220.260.282.074.523.764.5917.700.1340.96
混合型003132德邦新回报灵活配置混合A1.41822025-03-270.040.13-0.20-0.927.3815.51-14.17-21.5622.05-0.8976.36
债券型002586金鹰添利信用债债券A1.12312025-03-270.04-0.25-0.583.5713.3111.104.6111.0521.064.3042.37
混合型001136易方达裕如灵活配置混合A1.35762025-03-270.04-0.030.23-0.184.197.668.0910.5426.64-0.0368.07
债券型000289鹏华丰泰定开债A1.08902025-03-270.040.100.270.082.334.397.469.7515.84-0.0571.42
债券型000175汇添富高息债债券C1.60222025-03-270.040.06-0.190.651.072.676.047.316.670.6764.39
混合型530016建信恒稳价值混合2.57602025-03-270.04-1.90-1.75-3.63-3.12-0.08-24.39-26.341.58-2.39180.74
债券型LOF165517中信保诚双盈LOF0.98152025-03-270.04-0.04-0.290.582.123.515.548.3314.390.66157.74
债券型165517中信保诚双盈债券(LOF)A0.98152025-03-270.04-0.04-0.290.582.123.515.548.3314.390.66157.74
债券型LOF164703汇添富纯债LOF0.83892025-03-270.040.380.16-0.172.434.037.179.8415.74-0.36105.21
债券型164703汇添富纯债(LOF)A0.83892025-03-270.040.380.16-0.172.434.037.179.8415.74-0.36105.21
债券型023574长信利众债券(LOF)E0.96962025-03-270.040.110.110.110.110.110.110.110.110.110.11
混合型020929国投瑞银新活力混合D1.01702025-03-270.040.350.21-0.250.643.953.923.923.92-0.343.92
0173980.91152025-03-260.04-1.10-0.501.596.277.830.460.510.512.090.51
混合型016528广发稳宏一年持有混合A1.07302025-03-270.04-0.65-0.292.425.659.487.307.307.302.147.30
债券型016439鑫元惠丰纯债债券C1.02722025-03-270.040.060.960.391.994.098.168.788.780.388.78
0154211.03442025-03-250.040.130.05-0.050.641.792.973.443.44-0.173.44
混合型013184广发恒阳一年持有混合A1.02852025-03-270.04-0.53-1.262.518.4510.11-1.255.392.853.352.85
混合型012485建信汇益一年持有混合A1.03532025-03-270.04-0.16-0.031.123.885.843.656.053.531.433.53
混合型012078易方达悦夏一年持有混合C1.07202025-03-270.040.030.271.013.734.266.597.487.200.987.20
混合型011872中邮悦享6个月持有期混合A1.11332025-03-270.04-0.61-1.880.043.858.5010.1611.0411.330.0011.33
混合型011511国寿安保稳鑫一年持有混合C0.95302025-03-270.04-0.40-1.49-1.73-0.141.60-5.16-5.43-2.85-1.85-2.85
债券型007562景顺长城景泰纯利债券A1.17502025-03-270.040.230.030.453.625.859.6614.2726.650.4428.37
债券型007558中加优选中高等级债券C1.06812025-03-270.040.190.18-0.151.072.516.899.6214.15-0.3117.44
0071601.18522025-03-250.040.080.390.159.438.971.962.6615.580.1118.52
债券型006637华富恒欣纯债债券C1.07462025-03-270.040.230.290.091.403.117.799.0313.70-0.0716.07
债券型006242宝盈盈润纯债债券A1.07212025-03-270.040.250.250.211.122.777.9513.0723.820.1128.83
混合型005523泰康颐年混合A1.34972025-03-270.040.040.120.642.204.145.9910.7822.290.5834.97
混合型005386银河睿达灵活配置混合A1.56012025-03-270.04-0.44-1.45-0.982.524.490.823.0343.43-0.7773.31
债券型004571万家家瑞债券A1.11752025-03-270.04-0.07-0.25-0.201.782.49-1.050.027.110.2321.88
债券型004504鹏华永泽18个月定开债1.24682025-03-270.040.02-0.171.606.408.7511.5812.3121.511.8043.12
股票型004403平安股息精选沪港深A1.36062025-03-270.04-0.070.911.043.875.868.833.8234.090.2636.06
混合型003187嘉实安益混合C1.33602025-03-270.040.15-0.75-0.441.542.542.645.6117.85-0.5139.89
混合型001414国联鑫起点混合C0.92572025-03-270.040.13-0.26-0.522.683.10-18.13-17.39-2.40-0.48-2.95
混合型541004汇丰晋信2026周期混合3.27722025-03-270.04-0.500.501.334.448.799.0113.0352.661.78415.73
债券型200009长城稳健增利债券A1.17852025-03-270.040.310.310.220.992.779.0411.8719.690.11103.01
指数型164905交银国证新能源指数(LOF)A0.95442025-03-270.04-1.75-2.251.739.5014.19-18.50-28.1849.172.780.24
股票型LOF161233国投瑞泰LOF1.55712025-03-270.04-0.230.49-0.272.538.387.4812.3445.60-0.2964.27
混合型161233国投瑞银瑞泰多策略混合A1.55712025-03-270.04-0.230.49-0.272.538.387.4812.3445.60-0.2964.27
债券型022484金鹰元祺债券C1.56552025-03-270.04-0.46-1.101.034.034.034.034.034.031.194.03
债券型020962中信保诚双盈债券(LOF)D0.98152025-03-270.04-0.03-0.290.582.123.513.483.483.480.663.48
QDII型018577摩根恒生科技ETF发起式联接(QDII)1.30522025-03-270.04-4.30-4.6720.1125.9658.8830.5230.5230.5221.8630.52
债券型017711富国增利债券发起式C1.06002025-03-270.040.270.16-0.101.393.747.607.607.60-0.247.60
债券型015782创金合信稳健添利债券A1.11702025-03-270.040.080.590.724.608.037.4711.7011.700.7811.70
混合型013506华安研究精选混合C1.81142025-03-270.04-3.42-5.50-3.77-4.05-2.32-20.36-22.75-38.83-3.28-38.83
债券型013487华安领荣一年定开债券发起式1.05602025-03-270.040.200.350.070.984.479.8013.0413.04-0.0413.04
债券型012775前海开源丰和债券C1.01652025-03-270.040.150.29-0.060.590.692.785.316.81-0.106.81
混合型012334上银慧尚6个月持有期混合A1.04422025-03-270.040.06-0.09-0.931.233.374.476.374.42-0.514.42
债券型012290国联恒益纯债A1.09682025-03-270.040.240.20-0.091.143.268.7411.2013.50-0.2813.50
混合型012069天弘安康颐享12个月持有A1.05382025-03-270.040.01-0.240.272.835.535.255.096.410.226.41
混合型011873中邮悦享6个月持有期混合C1.09362025-03-270.04-0.62-1.92-0.093.587.949.049.369.36-0.129.36
混合型007217浙商智能行业优选混合C1.15862025-03-270.04-0.731.592.106.8811.19-13.04-18.2638.002.4238.73
债券型006284浙商兴永三个月定开债发起式1.02062025-03-270.040.260.180.041.483.538.3210.9317.27-0.0823.54
债券型005383富国绿色纯债一年定开债券A1.23332025-03-270.040.270.22-0.051.553.687.4110.2316.61-0.1635.36
债券型004401金信民兴债券C1.10952025-03-270.040.240.240.552.163.074.365.3472.420.40109.32
债券型002933圆信永丰强化收益C1.14072025-03-270.040.000.020.223.856.065.297.5118.070.5237.80
债券型002487汇添富稳添利定期开放债券A1.12292025-03-270.040.29-0.12-0.610.122.886.2510.2516.02-0.6526.34
混合型000161富国宏观策略灵活配置混合A2.39302025-03-270.04-1.64-3.43-1.7213.5721.41-15.11-22.031.87-0.37178.15
债券型675163西部利得汇盈债券C1.06652025-03-270.040.250.200.181.453.248.5311.9020.990.0732.61
债券型460003华泰柏瑞稳本增利债券B1.02562025-03-270.04-0.63-0.34-0.790.211.461.9014.8717.90-0.5683.00
混合型162205宏利风险预算混合1.13412025-03-270.04-0.18-1.49-2.050.522.921.402.2822.04-2.06550.11
混合型022784国泰鑫策略价值灵活配置混合C1.42132025-03-270.040.290.701.541.621.621.621.621.621.281.62
债券型021396创金合信尊丰纯债D1.14352025-03-270.040.180.330.091.24-3.16-3.16-3.16-3.160.00-3.16
债券型020257嘉合磐稳纯债D1.02872025-03-270.040.220.23-0.161.543.705.635.635.63-0.245.63
指数型018385招商中证全指软件ETF发起式联接A0.84302025-03-270.04-5.51-8.792.4329.3726.88-15.70-15.70-15.707.37-15.70
债券型016438鑫元惠丰纯债债券A1.02752025-03-270.040.060.970.432.084.278.529.229.220.429.22
混合型016322嘉实安益混合A1.34472025-03-270.040.15-0.74-0.391.662.793.143.383.38-0.453.38
债券型015803鹏华稳健恒利债券C1.01762025-03-270.04-0.110.44-0.57-0.430.462.081.761.76-0.601.76
债券型015469永赢湖北国企债一年定开发起1.06642025-03-270.040.330.24-0.201.413.428.418.278.27-0.308.27
债券型014447大成惠源一年定开债发起式1.04402025-03-270.040.340.33-0.131.373.658.019.8710.23-0.2910.23
混合型011516嘉实浦盈一年持有期混合A1.05432025-03-270.04-0.26-0.150.601.392.515.346.055.430.565.43
混合型011105长信稳健均衡6个月持有期混合A0.97852025-03-270.040.080.080.041.075.37-2.08-0.73-2.15-0.02-2.15
债券型008684宝盈盈旭纯债债券A1.04572025-03-270.040.260.20-0.191.003.138.547.6710.63-0.3110.63
债券型007195长城短债C1.19352025-03-270.040.260.180.311.253.038.2210.9316.910.2219.35
债券型007128天弘增强回报债券A1.42012025-03-270.040.090.450.234.406.975.197.3927.970.3442.01
债券型006636华富恒欣纯债债券A1.11582025-03-270.040.240.320.221.653.568.6810.8816.630.0520.24
混合型006511博道卓远混合A1.80752025-03-270.04-2.87-1.272.5115.5721.47-4.99-5.3630.775.1180.75
指数型005062博时中证500指数增强A1.34292025-03-270.04-0.611.082.2414.9617.931.921.9431.775.0034.29
债券型003733金鹰添裕纯债债券A1.06232025-03-270.040.470.160.080.413.438.517.888.09-0.0525.39
债券型001512易方达中债3-5年期国债指数1.35102025-03-270.040.120.04-0.641.313.607.058.7812.40-0.6335.10
混合型900027中信证券信远一年持有混合A0.46032025-03-270.040.241.481.015.197.62-20.69-35.88-39.180.99-39.18
债券型LOF165509中信保诚增强LOF1.10562025-03-270.040.08-0.56-0.531.337.652.007.1235.41-0.48146.27
债券型165509中信保诚增强收益债券(LOF)A1.10562025-03-270.040.08-0.56-0.531.337.652.007.1235.41-0.48146.27
债券型163812中银双利债券B1.42062025-03-270.04-0.95-2.393.4116.0715.5414.8613.9917.604.7396.76
债券型023697银河久泰债券C1.13922025-03-270.040.250.210.210.210.210.210.210.210.210.21
混合型023270景顺长城量化对冲策略三个月定期1.03352025-03-270.04-0.040.370.540.540.540.540.540.540.540.54
混合型022785国泰鑫策略价值灵活配置混合E1.42292025-03-270.040.290.711.561.731.731.731.731.731.311.73
0220741.00722025-03-250.040.230.130.090.720.720.720.720.72-0.030.72
债券型020387兴业稳福120天持有期债券A1.04212025-03-270.040.210.360.371.393.664.214.214.210.274.21
混合型019215景顺长城量化平衡混合C1.14132025-03-270.04-1.93-0.940.618.047.37-1.75-1.75-1.752.29-1.75
债券型018507创金合信益久9个月持有期债券C1.08302025-03-270.040.120.360.183.498.098.308.308.300.168.30
债券型018492格林聚合增强债券C1.08642025-03-270.04-0.83-1.552.125.987.228.638.638.632.508.63
债券型017763银河领先债券C1.24872025-03-270.040.000.000.853.209.2510.1111.0611.060.9311.06
混合型017576华夏稳兴增益一年持有混合C1.04832025-03-270.040.010.340.392.414.074.834.834.830.364.83
0173380.99772025-03-250.04-0.060.461.094.144.460.320.860.861.100.86
混合型017197华宝新兴成长混合C1.04692025-03-270.04-2.83-7.49-3.494.988.52-3.78-6.71-6.71-0.33-6.71
混合型015779景顺长城价值边际灵活配置混合C1.65292025-03-270.040.012.984.101.6511.4328.1549.7649.764.0449.76
债券型015632大成惠瑞一年定开债券发起式1.03292025-03-270.040.480.09-0.081.894.1010.4312.3212.32-0.2812.32
混合型014904易方达悦稳一年持有混合A1.07872025-03-270.040.020.271.013.694.326.408.057.870.977.87
债券型014397中银恒悦180天持有债券A1.10702025-03-270.040.030.000.161.834.768.4711.3610.700.0910.70
0130890.83912024-12-200.04-0.99-0.6613.104.744.91-10.410.00-16.092.92-16.09
混合型013025富国宏观策略灵活配置混合C2.34302025-03-270.04-1.68-3.46-1.8813.2420.71-16.08-23.38-33.64-0.51-33.64
混合型011376华宝安享混合A1.13662025-03-270.040.400.04-0.701.613.6711.4112.9413.66-1.1213.66
债券型010651平安双季增享6个月持有债券A0.96342025-03-270.04-0.15-0.300.041.361.340.36-5.99-3.660.16-3.66
债券型010476太平恒久纯债1.02802025-03-270.040.250.230.101.263.748.0210.0945.95-0.0345.95
债券型010473华富安华债券A1.05642025-03-270.04-0.06-0.100.541.713.380.252.205.640.855.64
混合型010242平安稳健增长混合A0.82312025-03-270.040.09-0.05-0.101.37-0.72-6.16-8.00-17.69-0.11-17.69
债券型010087中邮纯债丰利债券C1.10052025-03-270.040.400.29-0.041.343.127.5911.0617.25-0.2117.25
债券型009091兴银汇悦一年定开债发起式1.05352025-03-270.040.230.320.011.542.827.118.8014.55-0.0614.65
债券型008974长城稳健增利债券C1.41662025-03-270.040.300.280.140.832.448.3610.8318.850.0419.84
债券型008173兴全稳泰债券C1.17882025-03-270.040.310.360.181.543.007.8111.0218.700.0421.61
混合型008060景顺长城价值边际灵活配置混合A1.67102025-03-270.040.023.014.211.8111.8329.1154.1767.104.1467.10
0076431.13282025-03-250.04-0.58-0.210.454.284.653.302.4712.550.5113.28
债券型007564鹏扬淳明债券A1.06272025-03-270.040.270.260.101.733.999.8510.9718.310.0019.97
债券型006762国泰聚享纯债债券A1.01102025-03-270.040.200.02-0.131.012.606.559.7016.93-0.2924.17
指数型005727嘉实中创400ETF联接C1.06362025-03-270.04-3.31-3.411.7322.8922.34-2.95-0.0220.475.426.36
混合型005178华夏睿磐泰利混合C1.38112025-03-270.04-0.010.590.443.145.316.476.6131.130.4944.27
混合型004495博时量化平衡混合A1.38052025-03-270.04-0.95-0.25-1.126.994.180.33-2.2819.73-0.4648.41
混合型004202华夏泰兴混合A1.27062025-03-270.040.020.540.211.883.686.917.9929.300.2547.95
混合型004005东方民丰回报赢安混合A1.03842025-03-270.040.160.240.693.693.200.78-0.283.880.715.29
债券型003999富荣富祥纯债A1.04992025-03-270.040.32-0.20-0.450.993.708.1611.2217.99-0.7041.01
混合型002186国联安鑫享灵活配置混合C1.18862025-03-270.04-0.10-0.130.483.254.352.822.6128.970.6480.42
混合型002054中银新财富混合A1.08532025-03-270.040.592.49-1.053.387.7110.4510.9128.63-1.4071.38
混合型001231银华泰利灵活配置混合A1.66252025-03-270.040.170.43-0.620.091.68-0.15-0.398.31-0.1666.25
债券型001033华夏安康债券C1.42042025-03-270.040.160.24-0.281.267.52-5.052.337.77-0.3662.33
混合型010195博时睿祥15个月定开混合C0.69842024-11-250.041.22-3.2010.615.482.18-15.66-37.18-30.165.26-30.16
债券型881013招商资管智远增利债券C1.06142025-03-270.04-0.05-0.610.452.072.527.236.886.140.556.14
债券型LOF161908万家添利LOF1.15492025-03-270.04-0.30-0.811.247.269.179.2413.6630.381.52144.68
债券型161908万家添利债券(LOF)C1.15492025-03-270.04-0.30-0.811.247.269.179.2413.6630.381.52144.68
债券型023040中欧多利债券A0.99932025-03-270.040.00-0.08-0.07-0.07-0.07-0.07-0.07-0.07-0.07-0.07
债券型022105金鹰添利信用债债券E1.11262025-03-270.04-0.26-0.603.4913.1417.0017.0017.0017.004.2217.00
混合型021312华宝安享混合C1.13402025-03-270.040.390.03-0.751.492.072.072.072.07-1.172.07
债券型021040华富恒欣纯债债券E1.11302025-03-270.040.230.300.151.493.363.313.313.31-0.013.31
债券型020947东方享誉30天滚动持有债券C1.01512025-03-270.040.160.330.621.371.511.511.511.510.571.51
债券型020538宝盈盈润纯债债券E1.07082025-03-270.040.250.250.191.072.663.013.013.010.083.01
混合型020355农银瑞益一年持有混合C1.02972025-03-270.04-0.120.03-0.021.572.552.972.972.97-0.072.97
债券型019852汇添富稳宏6个月持有债券C0.99952025-03-270.040.28-0.54-1.420.27-0.05-0.05-0.05-0.05-1.49-0.05
债券型019262中信保诚嘉盛三个月定开债券A1.01932025-03-270.040.320.01-0.341.442.463.973.973.97-0.553.97
混合型019195博时量化平衡混合C1.37492025-03-270.04-0.94-0.17-0.997.213.531.021.021.02-0.331.02
债券型019022合煦智远诚正30天持有期债券C1.04192025-03-270.040.030.01-0.610.972.454.194.194.19-0.594.19
债券型018831汇添富稳健回报债券C1.04672025-03-270.04-0.02-0.16-0.422.724.764.674.674.67-0.354.67
债券型018586汇添富双享增利债券A1.05482025-03-270.04-0.06-0.250.311.804.725.485.485.480.295.48
混合型018352国泰君安周期精选混合发起C1.04332025-03-270.040.211.601.927.094.934.334.334.332.804.33
债券型016481兴证全球恒信债券A1.09352025-03-270.040.270.12-0.061.743.348.249.359.35-0.259.35
0152971.03722025-03-250.040.240.230.832.873.955.293.723.720.813.72
混合型014537中银中国混合(LOF)C0.92592025-03-270.04-1.57-1.77-0.855.744.91-26.73-28.35-45.840.10-45.84
债券型014464交银裕道纯债一年定开债券发起1.04832025-03-270.040.330.18-0.181.392.437.4711.6211.62-0.2911.62
债券型013547财通资管鸿享30天滚动中短债C1.05982025-03-270.040.290.14-0.211.463.598.0810.8312.74-0.3212.74
指数型013442建信中证1000指数增强E1.62382025-03-270.04-1.87-0.504.0523.6322.00-2.836.14-3.066.98-3.06
混合型011702广发睿享稳健增利混合C0.96712025-03-270.04-0.110.07-0.211.884.85-0.02-3.48-12.32-0.27-12.32
混合型010195博时睿祥15个月定开混合C0.69842024-11-250.041.22-3.2010.615.482.18-15.66-37.18-30.165.26-30.16
混合型010006南方誉鼎一年持有期混合A1.06302025-03-270.04-0.020.790.432.756.101.775.236.300.496.30
0098840.90332025-03-260.04-1.09-0.531.496.077.42-0.31-1.57-3.782.01-3.78
混合型009332博时恒裕持有期混合A0.98542025-03-270.040.080.140.490.042.942.112.20-1.460.43-1.46
债券型008668西部利得双盈一年定开债券1.15022025-03-270.040.310.07-0.260.893.228.2612.0219.26-0.3619.27
债券型008550汇安中债-广西信用债C1.02232025-03-270.040.280.280.171.123.856.667.6814.700.2115.45
债券型007888农银金盈债券A1.06632025-03-270.040.180.28-0.091.924.189.6413.2721.38-0.3226.89
债券型007557中加优选中高等级债券A1.03492025-03-270.040.190.19-0.111.162.727.3110.3115.68-0.2719.16
0071591.21332025-03-250.040.080.420.259.649.402.783.9017.910.2021.33
债券型006986平安季添盈定开债A1.08702025-03-270.040.280.360.261.152.916.9510.6114.480.1421.67
债券型005721前海开源乾盛定开债C1.06502025-03-270.040.230.24-0.251.523.707.8210.3113.54-0.4713.54
债券型003254前海开源鼎裕债券A1.02842025-03-270.04-0.030.041.665.623.13-12.76-12.49-14.771.6667.09
债券型002490金鹰元祺债券A1.56452025-03-270.04-0.46-1.071.124.194.505.3310.2529.211.2862.43
混合型002133广发鑫益混合2.29902025-03-270.04-1.71-1.295.4126.3240.784.172.9185.407.68129.90
混合型002119广发安盈混合C1.47942025-03-270.040.170.120.212.975.97-0.31-1.1136.850.1947.94
债券型675111西部利得汇享债券A1.31862025-03-270.040.07-0.020.873.976.529.4512.7522.730.9053.18
混合型100022富国天瑞强势混合0.73112025-03-270.04-3.78-9.447.9022.2022.507.39-0.8462.4811.111763.66
债券型023772鹏华稳健添利债券E1.00042025-03-270.040.040.040.040.040.040.040.040.040.040.04
债券型023403前海开源鼎裕债券D1.02852025-03-270.04-0.040.01-0.11-0.11-0.11-0.11-0.11-0.11-0.11-0.11
债券型021808国泰聚享纯债债券C1.01522025-03-270.040.200.02-0.141.101.981.981.981.98-0.291.98
债券型020946东方享誉30天滚动持有债券A1.01662025-03-270.040.160.340.661.461.661.661.661.660.611.66
混合型019926中欧琪福混合E1.07592025-03-270.04-0.17-0.220.683.274.996.146.146.140.856.14
债券型018576鑫元慧享纯债3个月定开C1.05142025-03-270.040.270.220.001.433.906.796.796.79-0.166.79
指数型018386招商中证全指软件ETF发起式联接C0.83702025-03-270.04-5.52-8.812.3429.1326.40-16.30-16.30-16.307.28-16.30
0173190.99792025-03-250.040.100.500.922.424.091.612.632.630.952.63
0133371.03592025-03-260.040.080.210.471.112.472.833.683.590.393.59
混合型012953华泰柏瑞恒利混合A1.16622025-03-270.04-0.020.060.442.285.6710.9418.5219.030.5819.03
混合型012486建信汇益一年持有混合C1.02132025-03-270.04-0.17-0.061.023.665.412.824.782.131.342.13
混合型012070天弘安康颐享12个月持有C1.03772025-03-270.040.00-0.270.162.615.094.413.814.780.124.78
混合型009266鹏扬景合六个月持有混合1.10212025-03-270.04-0.090.18-0.112.914.645.788.6817.710.0517.71
混合型006568国联安行业领先混合1.93532025-03-270.04-1.740.425.749.4412.33-7.39-4.5861.757.8597.56
指数型006166建信中证1000指数增强C1.62332025-03-270.04-1.87-0.504.0523.6422.01-2.836.1258.266.99119.46
债券型005712兴全祥泰定期开放债券1.06932025-03-270.040.230.31-0.021.503.218.2011.8020.93-0.1240.98
混合型005387银河睿达灵活配置混合C1.55142025-03-270.04-0.44-1.45-1.002.474.390.622.7242.67-0.7972.34
混合型002117广发安享混合C1.22562025-03-270.04-0.12-0.25-0.630.531.863.434.7220.91-0.7262.65
混合型001413国联鑫起点混合A0.98962025-03-270.040.14-0.24-0.442.843.38-17.69-16.70-0.98-0.413.63
混合型001289银华汇利灵活配置混合A1.74952025-03-270.040.240.390.140.662.014.644.7613.160.0974.95
债券型000025大摩双利增强债券C1.16712025-03-270.040.30-0.62-0.551.353.414.856.6715.77-0.6674.02
债券型860066光大阳光北斗星9个月持有债C1.02822025-03-270.040.100.450.131.922.03-0.732.822.820.212.82
混合型519773交银数据产业灵活配置混合A1.69942025-03-270.04-1.15-4.682.1210.826.30-11.73-13.4522.445.4569.94
债券型021417国富中债绿色普惠金融债券指数C1.08622025-03-270.040.130.28-0.118.179.119.119.119.11-0.169.11
债券型019873长城短债E1.20312025-03-270.040.260.190.331.313.155.535.535.530.245.53
债券型018855东方锦合一年定开债券发起式1.03292025-03-270.040.250.350.451.624.434.394.394.390.314.39
混合型018351国泰君安周期精选混合发起A1.05122025-03-270.040.231.632.047.315.345.125.125.122.915.12
混合型017298汇添富添添鑫多元收益9个月持有混1.07432025-03-270.04-0.79-2.182.065.768.267.437.437.431.737.43
债券型016809嘉合磐益纯债C1.09922025-03-270.040.220.320.151.183.028.559.929.920.069.92
0167711.02812025-03-250.04-0.03-0.060.040.661.552.792.812.81-0.112.81
0161771.04022025-03-250.04-0.660.350.939.298.544.684.024.021.184.02
0152311.04322025-03-260.040.240.150.040.792.411.704.304.32-0.104.32
混合型014549交银数据产业灵活配置混合C1.66712025-03-270.04-1.16-4.721.9710.475.64-12.80-14.99-32.285.30-32.28
债券型012118兴全恒裕债券C1.16722025-03-270.040.340.340.121.573.087.6911.1914.85-0.0214.85
混合型010598创金合信景雯灵活配置混合C1.14032025-03-270.04-0.010.810.094.829.217.8516.0114.030.4714.03
债券型004535汇添富双盈回报一年持有债C1.34832025-03-270.04-0.23-0.131.512.995.658.8410.6617.811.6734.83
混合型004006东方民丰回报赢安混合C1.01612025-03-270.040.160.220.603.542.890.17-1.162.300.632.88
债券型003573中信建投稳裕定开债A1.06872025-03-270.040.19-0.20-0.331.473.166.999.8315.70-0.5034.48
混合型000739平安新鑫先锋A2.28502025-03-270.04-2.10-1.4516.0731.5827.3117.455.11129.3018.78188.22
债券型970205兴证资管金麒麟兴享增利六个月持1.03692025-03-270.040.070.180.261.412.273.113.693.690.293.69
债券型880009招商资管睿丰三个月持有期债券D1.16232025-03-270.040.03-0.070.913.443.985.687.379.991.019.99
债券型519187万家稳健增利债券C1.00812025-03-270.040.460.12-0.291.13-0.751.031.977.27-0.4289.83
债券型485114工银添颐债券A2.41502025-03-270.040.170.42-0.411.473.34-6.40-6.5013.38-0.41141.50
债券型163811中银双利债券A1.44722025-03-270.04-0.94-2.363.5016.2715.9415.6615.2019.694.81107.07
债券型023611中信保诚双盈债券(LOF)C0.98162025-03-270.04-0.03-0.20-0.20-0.20-0.20-0.20-0.20-0.20-0.20-0.20
债券型022515农银金盈债券C1.06532025-03-270.040.170.27-0.141.541.541.541.541.54-0.371.54
债券型021794国泰君安安宜纯债债券1.01712025-03-270.040.160.10-0.301.991.711.711.711.71-0.471.71
债券型021552广发景裕纯债A0.99902025-03-270.040.210.21-0.10-0.10-0.10-0.10-0.10-0.10-0.10-0.10
混合型020339银华混改红利灵活配置混合发起式C1.11092025-03-270.040.962.30-0.603.93-4.77-12.53-12.53-12.53-0.91-12.53
债券型020338富达90天债券C1.01002025-03-270.040.21-0.31-1.14-0.460.691.001.001.00-1.131.00
债券型019263中信保诚嘉盛三个月定开债券C1.01802025-03-270.040.330.01-0.361.402.363.843.843.84-0.573.84
混合型018431摩根世代趋势混合发起式C0.79282025-03-270.04-2.60-2.269.0412.44-5.14-20.72-20.72-20.729.85-20.72
混合型017417易方达裕如灵活配置混合C1.34662025-03-270.04-0.030.20-0.253.987.217.307.907.90-0.107.90
债券型015524天弘多元增利债券A1.07782025-03-270.040.000.770.805.808.514.857.787.781.027.78
债券型014884兴银合鑫债券1.10172025-03-270.040.240.290.111.233.127.7610.1710.170.0510.17
混合型014275易方达北交所精选两年定开混合A1.47042025-03-270.04-1.89-2.9819.6994.7083.3766.9156.2149.3224.7649.32
混合型012252安信宏盈18个月持有混合1.02462025-03-270.04-0.42-0.260.170.593.493.074.892.460.002.46
混合型011720易方达悦信一年持有混合A1.07982025-03-270.040.070.321.063.744.797.708.247.981.047.98
混合型010171中银证券鑫瑞6个月持有C1.04802025-03-270.040.01-0.17-0.192.794.972.844.214.800.014.80
债券型009204鹏扬稳利债券C1.15582025-03-270.040.190.240.131.733.727.4310.5315.580.0515.58
混合型007781天弘弘新混合发起式A1.32822025-03-270.04-0.01-0.01-0.691.207.300.716.9126.87-0.6632.82
混合型007177浙商智能行业优选混合A1.18422025-03-270.04-0.721.622.227.1411.74-12.17-17.0341.492.5442.59
债券型007167华安安和债券A1.03552025-03-270.040.180.240.161.053.118.4512.2820.340.1422.47
债券型007155银河中债央企20债券指数1.03012025-03-270.040.150.21-0.041.153.256.439.4615.74-0.1420.19
债券型007100中银添利债券发起E1.39262025-03-270.040.120.04-0.011.183.397.269.3516.21-0.1122.80
混合型005906招商丰茂灵活混合发起式A1.28092025-03-270.040.360.850.231.642.476.257.7416.040.1628.09
混合型005177华夏睿磐泰利混合A1.40852025-03-270.04-0.010.610.513.295.627.097.5633.080.5647.40
债券型004572万家家瑞债券C1.08382025-03-270.04-0.08-0.29-0.321.461.96-1.95-1.284.860.1118.18
混合型002197国泰鑫策略价值灵活配置混合A1.42192025-03-270.040.290.701.573.642.61-2.78-6.0824.111.3242.19
混合型002118广发安盈混合A1.51792025-03-270.040.180.150.313.156.370.790.3940.030.2851.79
债券型001750景顺长城景瑞收益债券A1.13592025-03-270.040.310.160.031.573.857.1910.1115.73-0.1029.22
债券型000024大摩双利增强债券A1.19102025-03-270.040.30-0.59-0.451.553.835.707.9718.13-0.5780.53
债券型675161西部利得汇盈债券A1.08102025-03-270.040.250.200.191.493.348.7712.2721.600.0933.63
债券型LOF163005长信利众LOF0.97942025-03-270.04-0.10-0.49-0.231.393.156.3510.0919.55-0.0797.59
债券型163005长信利众债券(LOF)C0.97942025-03-270.04-0.10-0.49-0.231.393.156.3510.0919.55-0.0797.59
股票型LOF160645鹏华精选回报定开0.99492025-03-270.04-0.654.001.92-3.72-3.81-23.32-34.33-5.982.64-0.51
混合型160645鹏华精选回报三年定开混合0.99492025-03-270.04-0.654.001.92-3.72-3.81-23.32-34.33-5.982.64-0.51
混合型100023富国天瑞强势混合0.73112025-03-270.04-3.78-9.447.9022.2022.507.39-0.8462.4811.111763.66
混合型023527凯石元鑫混合发起式C0.99972025-03-270.040.00-0.03-0.03-0.03-0.03-0.03-0.03-0.03-0.03-0.03
混合型022370鹏华安益增强混合C1.00162025-03-270.040.100.180.130.160.160.160.160.160.100.16
债券型022134富国增利债券发起式F1.06132025-03-270.040.270.16-0.101.301.161.161.161.16-0.241.16
债券型020012国泰金龙债券C1.10212025-03-270.04-0.040.010.777.849.3310.4213.256.180.8680.62
0188121.04972025-03-250.040.07-0.070.273.073.734.974.974.970.144.97
债券型018598兴证全球招益债券C1.07072025-03-270.040.200.461.244.576.337.077.077.071.117.07
0173970.98732025-03-250.04-0.040.491.024.074.411.102.352.351.032.35
混合型013532广发安宏回报混合E0.77502025-03-270.04-1.51-1.950.484.35-4.12-28.84-30.31-32.691.39-32.69
债券型012418平安合进1年定开债发起式1.05502025-03-270.040.240.08-0.211.003.328.0411.9716.39-0.4016.39
混合型011250嘉实稳裕混合C1.12612025-03-270.040.010.170.061.303.8610.4912.3212.610.0912.61
混合型011106长信稳健均衡6个月持有期混合C0.95912025-03-270.040.070.04-0.080.824.85-3.05-2.21-4.09-0.15-4.09
混合型010170中银证券鑫瑞6个月持有A1.06192025-03-270.040.02-0.14-0.102.945.293.465.166.190.086.19
债券型008549汇安中债-广西信用债A1.02402025-03-270.040.290.310.291.374.387.7310.2518.610.3319.54
债券型008226南方远利3个月定开债1.10772025-03-270.040.280.240.101.312.936.229.2416.63-0.0118.28
混合型003697华夏睿磐泰盛混合1.40332025-03-270.04-0.040.160.543.887.386.7217.3528.180.7040.33
债券型000130大成景兴信用债债券A1.62602025-03-270.040.060.060.552.795.329.3312.3723.760.49106.08
债券型860030光大阳光添利债券C2.49742025-03-270.030.100.550.802.782.691.668.5311.670.8011.67
债券型675083西部利得祥盈债券C1.17592025-03-270.030.020.351.013.569.536.055.3816.661.2443.89
债券型530021建信纯债债券A1.65122025-03-270.030.110.270.071.603.177.7610.8718.26-0.0166.98
债券型100018富国天利增长债券A1.33772025-03-270.030.16-0.030.182.844.267.6710.9520.550.18363.95
债券型022135富国长江经济带纯债债券C1.08152025-03-270.030.190.290.041.211.081.081.081.08-0.061.08
债券型021805财通资管睿丰债券C1.02452025-03-270.030.110.22-0.122.132.452.452.452.45-0.222.45
债券型020850东方享悦90天滚动持有债券A1.02442025-03-270.030.180.370.341.072.442.442.442.440.302.44
混合型020624信澳新能源精选混合C1.56392025-03-270.03-2.38-3.8913.9036.5953.8263.5563.5563.5516.3463.55
债券型020619汇添富投资级信用债指数A1.02802025-03-270.030.220.10-0.141.312.802.802.802.80-0.332.80
债券型020046广发添盈180天持有债券A1.04442025-03-270.030.190.00-0.151.704.144.444.444.44-0.314.44
0199041.07372025-03-250.030.140.261.323.565.077.107.107.101.057.10
债券型018668中信建投景润3个月定开债券D1.04532025-03-270.030.160.16-0.250.722.554.534.534.53-0.354.53
债券型016792浙商汇金聚兴一年定开债券发起式1.05152025-03-270.030.210.240.291.333.477.927.927.920.097.92
债券型015811兴证全球恒泰一年定开债发起式1.01452025-03-270.030.250.26-0.101.393.468.209.469.46-0.299.46
债券型015330财通资管睿达一年定开债发起1.01152025-03-270.030.180.23-0.321.164.339.4211.9211.92-0.4611.92
债券型014388渤海汇金兴宸一年定开债券发起1.02122025-03-270.030.190.22-0.121.403.108.1010.1210.12-0.1710.12
债券型014001中欧丰利债券C1.07272025-03-270.03-0.370.172.004.808.528.9010.787.272.127.27
混合型013967广发恒享一年持有期混合A1.03952025-03-270.03-0.18-0.922.216.828.762.409.597.412.747.41
债券型013468长盛盛康纯债债券D1.19222025-03-270.030.210.230.211.062.517.1410.5312.830.1512.83
债券型013376平安元鑫120天滚动持有中短债C1.11152025-03-270.030.170.310.160.942.336.859.7011.150.0611.15
债券型013231浙商智多盈债券A1.05782025-03-270.030.120.360.353.306.6911.138.155.780.245.78
混合型012281中欧精益稳健一年持有混合1.07102025-03-270.03-0.170.540.714.936.486.078.417.101.027.10
债券型011262华夏鼎英债券A1.05662025-03-270.030.120.17-0.211.193.159.3213.3114.90-0.2814.90
债券型010964鹏华可转债债券C1.10522025-03-270.03-1.89-1.715.3414.2013.940.66-2.19-15.707.74-15.70
混合型010834国泰同益18个月持有期混合A1.03052025-03-270.030.160.250.311.694.503.062.673.050.243.05
混合型010542国寿安保稳和6个月持有期混合C1.09282025-03-270.030.12-0.48-1.232.926.516.117.639.28-1.299.28
债券型009784安信尊享添利利率债A1.07782025-03-270.030.090.06-0.671.243.547.8311.3919.57-0.6919.57
债券型009288惠升和裕纯债债券C1.10382025-03-270.030.18-0.01-0.603.986.187.9810.3315.70-0.6915.70
债券型008982华泰紫金智鑫3月定开债1.07922025-03-270.030.15-0.03-0.821.583.468.0012.2218.12-0.8918.63
债券型008628大成惠享一年定开债券1.04302025-03-270.030.270.23-0.101.433.517.7410.9814.85-0.1914.85
债券型008340华富中债-安徽信用债A1.06942025-03-270.030.220.240.141.263.038.4512.6520.540.0720.54
债券型007879嘉实致安3个月定期债券1.21012025-03-270.030.140.190.121.544.9610.1311.6921.580.0724.76
债券型006754鑫元悦利定开债发起式1.06972025-03-270.030.160.170.110.842.756.7310.3820.030.0626.06
债券型005936申万菱信安泰惠利纯债A1.00312025-03-270.030.170.300.051.042.556.229.0115.32-0.0327.31
债券型004907长安泓沣中短债债券A1.13522025-03-270.030.130.300.330.892.447.4911.0317.250.2939.20
债券型003640兴业裕丰债券1.08252025-03-270.030.260.340.131.453.357.7911.7217.140.0435.65
债券型003360前海开源瑞和债券A1.04772025-03-270.030.12-0.10-0.181.813.416.977.189.26-0.3124.66
债券型001950鹏华丰泰定开债B1.12932025-03-270.030.090.23-0.022.154.036.718.6013.83-0.1331.20
债券型001235中银国有企业债A1.22132025-03-270.03-0.11-0.251.344.957.5611.2614.3924.981.4951.36
债券型000297鹏华可转债债券A1.46192025-03-270.03-1.89-1.695.3814.3114.121.03-1.6240.467.7952.68
债券型017614工银瑞福纯债债券F1.13842024-06-030.030.000.400.671.510.000.001.531.531.071.53
混合型009144博时荣升稳健添利混合A1.15862025-01-270.030.00-0.062.2511.488.002.344.9415.86-0.0915.86
债券型003879嘉实6个月理财债券A1.02212021-06-210.030.300.551.110.000.000.000.000.001.137.21
债券型470030汇添富鑫禧债1.02642025-03-270.030.21-0.06-0.650.882.405.778.640.00-0.7915.43
债券型022139平安3-5年期政策性金融债债券E1.11222025-03-270.030.040.30-0.391.751.771.771.771.77-0.341.77
债券型020261兴业裕华债券C1.08272025-03-270.030.190.18-0.181.542.844.094.094.09-0.304.09
债券型020130蜂巢上清所0-3年政金债指数A1.04662025-03-270.030.070.22-0.241.913.414.654.654.65-0.274.65
债券型018641华安沣润债券C1.04202025-03-270.03-0.10-0.32-0.051.873.314.204.204.200.114.20
混合型017636银华动力领航混合C0.75892025-03-270.03-1.79-2.641.847.635.49-22.17-24.11-24.114.10-24.11
债券型017614工银瑞福纯债债券F1.13842024-06-030.030.000.400.671.510.000.001.531.531.071.53
混合型016655鹏扬景泽一年持有混合C1.05922025-03-270.03-0.01-0.120.102.423.835.925.925.920.155.92
债券型016512嘉实长三角ESG纯债债券1.07262025-03-270.030.140.220.001.142.766.417.267.26-0.137.26
债券型016421万家惠利债券A1.03202025-03-270.03-0.030.030.562.803.793.133.203.200.823.20
债券型016353兴银合泰债券A1.06102025-03-270.030.230.320.201.523.566.106.106.100.056.10
债券型015771银华绿色低碳债券1.03742025-03-270.030.190.18-0.340.822.375.566.096.09-0.436.09
债券型015449太平安元债券C1.03452025-03-270.03-0.14-0.140.152.343.550.823.453.45-0.013.45
债券型013946创金合信尊智纯债债券C1.05152025-03-270.030.140.270.051.633.015.257.264.08-0.134.08
债券型013820华安顺穗债券1.10482025-03-270.030.290.290.201.563.396.939.7210.48-0.0210.48
混合型013185广发恒阳一年持有混合C1.01442025-03-270.03-0.54-1.282.418.219.65-2.054.121.443.251.44
混合型012293泰康鼎泰一年持有期混合C1.01552025-03-270.030.090.18-0.461.162.712.675.271.55-0.631.55
债券型012012海富通瑞兴3个月定开债券A1.02452025-03-270.030.230.090.031.853.998.6511.7013.38-0.1313.38
混合型010931国联安鑫元1个月持有混合A1.15172025-03-270.030.030.120.165.7410.7912.3016.5115.170.1715.17
混合型009326广发稳健增长混合C1.47532025-03-270.03-0.012.621.981.393.59-3.08-2.48-2.152.38-2.15
混合型009144博时荣升稳健添利混合A1.15862025-01-270.030.00-0.062.2511.488.002.344.9415.86-0.0915.86
债券型008498鹏扬浦利中短债C1.02812025-03-270.030.130.280.160.902.365.788.7815.050.0816.79
债券型007987鹏华丰庆债券A1.01322025-03-270.030.200.32-0.191.242.705.788.4214.38-0.2516.62
债券型007640宏利永利债券1.13072025-03-270.030.090.22-0.040.732.075.738.8720.43-0.1123.30
债券型007560国联恒鑫纯债A1.04942025-03-270.030.100.280.331.654.459.1211.6416.950.3121.77
债券型007482永赢智益纯债三个月1.14122025-03-270.030.200.22-0.151.413.507.8010.3017.01-0.3022.49
债券型006853中银汇享债券1.14572025-03-270.030.340.03-0.281.374.109.9713.6518.31-0.5422.97
债券型005745广发汇康定期开放债券1.03872025-03-270.030.130.12-0.611.103.828.3511.2916.88-0.6828.75
债券型004979华夏鼎诺三个月定开债A1.11652025-03-270.030.210.260.071.643.928.9512.2017.17-0.0723.76


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