本页展示2.28万多只场外基金信息,更新时间:2025-03-26

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%
债券型016127景顺长城景泰永利纯债债券C1.05662025-03-250.050.25-0.10-0.920.803.596.747.587.58-1.067.58
债券型002442鑫元汇利债券1.05012025-03-250.030.170.17-0.050.802.846.469.4015.47-0.1336.35
债券型015845红土创新丰泽中短债C1.04752025-03-25-0.020.070.11-0.210.802.895.586.376.37-0.266.37
债券型019406富达裕达纯债A1.04712025-03-250.090.29-0.34-0.590.802.884.714.714.71-0.964.71
债券型004124民生加银鑫升纯债1.04602025-03-250.100.41-0.97-0.750.803.227.069.4715.82-1.2235.90
债券型020680博时富鸿金融债3个月定开债C1.04502025-03-250.050.260.07-0.130.803.003.743.743.74-0.343.74
债券型002632鑫元双债增强债券A1.04252025-03-250.050.190.01-0.220.802.946.148.5314.10-0.3326.66
债券型015869中银誉享一年定开债发起1.04172025-03-250.120.600.11-0.350.803.599.129.829.82-0.829.82
债券型005011金鹰添瑞中短债C1.04132025-03-250.050.320.17-0.080.802.044.937.1612.62-0.1925.10
债券型005647广发汇佳定期开放债券1.03772025-03-250.050.20-0.01-0.540.803.727.6810.6816.84-0.7728.65
债券型006856银河丰泰3个月定开债券1.03472025-03-250.040.170.08-0.230.802.566.709.1615.78-0.4222.23
债券型003891汇安嘉裕纯债债券A1.02712025-03-250.040.230.150.000.803.266.647.5713.50-0.1330.07
债券型017690银华顺璟6个月定期开放债券A1.02452025-03-250.050.31-0.27-0.540.802.826.146.146.14-0.926.14
债券型021402银华顺璟6个月定期开放债券D1.02432025-03-250.050.31-0.27-0.530.802.362.362.362.36-0.912.36
债券型020235海富通瑞鑫30天持有期债券C1.02182025-03-250.010.080.220.290.801.962.182.182.180.242.18
债券型021064工银瑞升债券C1.02102025-03-250.010.09-0.03-0.500.802.702.702.702.70-0.672.70
债券型011986申万菱信合利纯债债券C1.02042025-03-250.030.180.250.230.802.035.037.3926.340.1526.34
债券型019262中信保诚嘉盛三个月定开债券A1.01822025-03-250.110.48-0.16-0.280.802.463.863.863.86-0.653.86
债券型005507永赢丰利债券A1.01532025-03-250.060.300.240.000.802.547.1210.8716.45-0.0829.96
债券型013408蜂巢丰和债券A1.01362025-03-250.060.14-0.20-0.280.803.888.2110.7310.77-0.8410.77
债券型021340华宝0-2年政金债指数A1.01242025-03-250.000.070.11-0.270.801.241.241.241.24-0.321.24
债券型005425民生加银睿通3个月定开债1.01172025-03-210.000.110.100.120.801.934.517.2113.170.0018.44
债券型021560格林30天滚动持有债券C1.00972025-03-250.010.11-0.01-0.670.800.970.970.970.97-0.780.97
债券型008896兴业鼎泰一年定开债券发起式1.00932025-03-250.040.22-0.05-0.240.802.666.038.6114.91-0.6514.78
债券型018643金鹰添福纯债债券C1.00862025-03-250.050.31-0.24-0.450.803.465.685.685.68-0.785.68
债券型008806鑫元锦利一年定开债1.00492025-03-25-0.010.120.11-0.010.802.627.1910.7717.86-0.1018.26
混合型001314易方达新益混合I2.27202025-03-250.070.260.37-0.740.804.465.536.4736.22-1.05136.20
混合型000572中银多策略混合A1.39402025-03-250.070.22-0.14-0.500.803.725.854.5819.66-0.6499.12
债券型008125创金合信中债1-3年国开债A1.05572025-03-250.080.320.00-0.580.793.146.298.7415.01-0.6417.50
债券型019515广发民玉纯债C1.05492025-03-250.060.21-0.03-0.270.792.734.664.664.66-0.464.66
债券型007598广发民玉纯债A1.05452025-03-250.070.21-0.02-0.260.792.746.248.5713.91-0.4614.93
债券型006099宏利泽利3个月定开债券发起式1.04952025-03-250.020.120.160.190.792.266.8812.2815.270.1524.87
债券型016930国泰惠盈纯债债券C1.04822025-03-250.210.91-0.77-0.800.793.328.168.358.35-1.298.35
债券型016743长城永利债券A1.04782025-03-250.040.21-0.32-0.660.793.067.197.887.88-0.917.88
债券型008684宝盈盈旭纯债债券A1.04472025-03-250.080.380.00-0.170.793.058.447.5710.53-0.4010.53
债券型015819财通资管睿盈债券C1.03602025-03-250.090.47-0.23-0.590.793.436.547.297.29-0.967.29
债券型020851东方享悦90天滚动持有债券C1.02182025-03-250.040.220.280.240.792.182.182.182.180.202.18
债券型015933中泰安悦6个月定开债A1.02132025-03-250.120.53-0.75-1.630.793.958.308.568.56-2.128.56
债券型006516浙商汇金短债A1.02002025-03-250.010.160.180.250.791.945.347.9415.630.1322.48
债券型021785国泰润利纯债债券C1.01222025-03-250.020.110.340.520.791.431.431.431.430.461.43
债券型021269宏利中债绿色普惠金融债券优选指1.00932025-03-250.040.210.21-0.020.791.841.841.841.84-0.141.84
债券型002438创金合信尊盛纯债债券A1.00902025-03-250.100.200.200.100.793.368.6412.1319.650.0044.21
债券型012611东方臻善纯债债券A1.00292025-03-250.020.070.190.140.791.974.566.878.240.048.24
混合型519095新华行业周期轮换混合A3.57312025-03-250.640.576.811.120.79-2.50-5.53-12.9262.412.49379.72
货币型000912英大现金宝货币A0.79682025-03-250.010.030.120.390.791.714.036.0911.130.3631.35
货币型015380国泰瞬利货币E0.55732025-03-250.010.030.130.390.791.703.805.655.710.365.71
货币型000301德邦德利货币B0.48142025-03-250.000.030.110.380.791.703.845.479.870.3537.85
货币型021135创金合信货币D0.46612025-03-250.000.030.120.400.791.641.641.641.640.371.64
货币型018649富国安益货币E0.44582025-03-250.000.030.120.380.791.663.323.323.320.363.32
货币型710502富安达现金通货币B0.44442025-03-250.000.030.120.390.791.633.655.4510.380.3541.23
货币型001386天弘弘运宝货币A0.43852025-03-250.000.030.130.400.791.703.785.8810.870.3727.11
货币型288101华夏货币A0.43742025-03-250.000.030.120.400.791.633.745.479.280.3877.96
货币型003465平安金管家货币A0.43622025-03-250.000.030.120.390.791.713.895.8911.150.3624.91
货币型007865东方红货币D0.42382025-03-250.000.030.120.380.791.693.785.7310.290.3510.29
货币型010208平安日增利货币B0.42322025-03-250.000.030.120.390.791.693.835.819.650.369.65
货币型000665博时现金收益货币B0.41682025-03-250.000.030.120.380.791.713.775.6510.460.3634.23
货币型004399融通汇财宝货币E0.41222025-03-250.000.030.110.370.791.713.825.7510.680.3422.83
货币型004169万家现金增利货币A0.41072025-03-250.000.030.120.390.791.683.795.7310.400.3721.24
货币型001697大成恒丰宝货币A0.40472025-03-250.000.030.120.390.791.673.724.927.800.3622.80
货币型003229浦银安盛日日鑫货币B0.40362025-03-250.000.030.110.390.791.713.955.7710.700.3623.74
货币型213909宝盈货币B0.40052025-03-250.000.030.110.380.791.713.785.6510.530.3559.83
货币型019040国联日盈C0.38572025-03-250.000.030.120.390.791.663.123.123.120.373.12
货币型020449中信建投添鑫宝D0.38252025-03-250.000.030.110.360.791.651.971.971.970.331.97
货币型002894华夏天利货币A0.37152025-03-250.000.030.110.390.791.583.485.289.750.3622.27
货币型019637华夏天利货币C0.37102025-03-250.000.030.110.390.791.582.542.542.540.362.54
货币型200103长城货币B0.33982025-03-250.000.030.110.380.791.683.725.7010.680.3549.02
货币型150998银河钱包货币B0.17882025-03-250.000.030.120.410.791.693.825.8410.870.3721.29
股票型022824鹏华沪深300指数增强I1.00792025-03-26-0.37-1.550.40-0.410.790.790.790.790.790.490.79
混合型009096鹏华安泽混合A1.18062025-03-250.050.120.340.490.791.154.435.8018.060.4918.06
混合型015824博时月月乐同业存单30天持有混合1.06282025-03-250.020.080.200.220.792.064.626.286.280.136.28
指数型022824鹏华沪深300指数增强I1.00792025-03-26-0.37-1.550.40-0.410.790.790.790.790.790.490.79
债券型160608鹏华普天债券B1.31032025-03-250.010.000.100.160.792.414.868.2010.450.11129.34
债券型002218南方弘利定开债1.28822025-03-250.060.320.14-0.170.793.287.6410.9318.13-0.4640.07
债券型000745北信瑞丰稳定收益C1.27402025-03-250.080.310.240.000.793.249.3612.7415.40-0.1661.87
债券型004441富荣富兴纯债A1.27042025-03-250.140.490.120.130.792.876.605.6614.33-0.0736.36
债券型006707永赢宏益债券A1.27012025-03-250.050.270.18-0.090.792.987.5810.6619.81-0.1927.96
债券型005684财通资管鸿睿12个月定开债A1.26972025-03-210.000.19-1.06-0.610.792.665.4611.5224.68-0.7339.62
债券型006966财通安瑞短债债券C1.19302025-03-250.020.090.220.300.791.915.288.4315.850.2420.05
债券型970003安信瑞鸿中短债A1.17652025-03-250.010.050.120.200.791.995.308.1415.000.1615.00
债券型006774国寿安保尊荣中短债债券C1.15052025-03-250.030.220.370.340.791.905.888.1513.890.2019.18
债券型519220海富通聚利债券1.14752025-03-250.020.100.190.220.792.174.737.1012.530.1228.45
债券型002659兴业中债1-3年政金债A1.14392025-03-250.020.16-0.02-0.400.792.836.338.9014.25-0.5034.31
债券型530028建信短债债券C1.13842025-03-250.020.110.120.180.791.974.957.3814.060.0914.87
债券型006647汇添富短债债券C1.11902025-03-250.020.060.140.150.791.754.155.9311.130.1016.43
债券型006987平安季添盈定开债C1.11242025-03-250.070.310.230.210.792.807.0010.3816.590.0320.49
债券型003213中银悦享定期开放债券发起式1.11162025-03-210.000.05-0.23-0.520.792.956.959.8016.51-0.6430.27
债券型009461东方臻萃3个月定开债券A1.10712025-03-250.030.220.250.290.792.4811.1317.5729.550.2129.55
债券型006542财通资管鸿利中短债债券A1.10472025-03-250.050.270.16-0.040.792.596.218.6415.97-0.1823.20
债券型013799财通安裕30天持有期中短债A1.09762025-03-250.040.170.170.220.792.055.369.559.760.149.76
债券型020069恒生前海恒源臻利债券A1.09692025-03-250.000.08-0.08-0.440.7948.4147.0247.0247.02-0.6447.02
债券型021018交银稳鑫短债债券E1.09462025-03-250.010.090.180.220.791.792.312.312.310.182.31
债券型970133东证融汇添添益中短债C1.09322025-03-250.020.110.190.300.791.845.249.069.320.269.32
债券型007292民生加银兴盈债券1.09252025-03-250.070.360.06-0.160.793.527.4610.2015.78-0.4020.01
债券型006794交银稳鑫短债债券C1.09112025-03-250.020.090.180.220.791.885.026.8712.170.1816.62
债券型013565银华季季盈3个月滚动持有债券C1.09082025-03-250.030.120.210.090.791.784.317.789.080.009.08
债券型008748大成景泰纯债债券C1.09072025-03-250.050.29-0.02-0.060.793.227.9610.4816.25-0.3516.25
债券型004673华夏短债债券C1.09072025-03-250.020.080.210.270.792.145.367.6413.750.1924.65
债券型020820华夏短债债券D1.09052025-03-250.020.080.200.270.792.132.192.192.190.192.19
债券型014741财通资管鸿商中短债C1.08862025-03-250.040.180.110.070.792.056.518.788.86-0.078.86
债券型007511南方泰元债券C1.08772025-03-250.130.350.02-0.250.793.117.019.6014.87-0.4219.72
债券型014594汇添富稳福60天滚动持有中短债A1.08712025-03-250.020.100.200.250.792.095.128.518.910.178.91
债券型014596汇添富稳福60天滚动持有中短债E1.08682025-03-250.020.100.200.250.792.095.108.488.880.178.88
债券型016855汇添富稳福60天滚动持有中短债B1.08652025-03-250.020.100.200.250.792.105.125.235.230.185.23
债券型014469平安元和90天滚动持有短债C1.08412025-03-250.020.110.210.270.792.215.398.418.410.188.41
债券型020092天弘安恒60天滚动持有短债A1.08392025-03-250.020.090.250.320.792.273.783.783.780.203.78
债券型005048南华瑞扬纯债C1.08382025-03-250.020.110.07-0.240.792.665.217.2124.59-0.368.38
债券型004682万家安弘纯债C1.07782025-03-210.000.010.030.010.792.375.577.9214.68-0.0631.48
债券型015427东吴月月享30天持有短债C1.07662025-03-250.090.360.030.210.792.436.347.667.660.107.66
债券型015721平安元悦60天滚动持有短债C1.07632025-03-250.030.100.190.250.792.236.377.637.630.197.63
债券型970089东吴安鑫中短债C1.07502025-03-250.010.070.050.090.791.954.816.817.500.037.50
债券型017059国泰君安90天滚动持有中短债C1.07482025-03-250.020.130.170.210.792.076.077.487.480.117.48
债券型003500鑫元聚利债券1.07162025-03-250.060.200.04-0.370.792.875.978.9315.28-0.5332.57
债券型006654华泰紫金季季享定开债券发起A1.06752025-03-250.060.350.32-0.140.792.593.243.306.75-0.2516.72
债券型021152华泰紫金季季享定开债券发起D1.06742025-03-250.060.360.32-0.140.792.292.292.292.29-0.252.29
债券型016094华泰紫金添鑫30天滚动中短债发起C1.06552025-03-250.040.110.200.270.792.045.606.556.550.176.55
债券型015612东方红短债债券E1.06172025-03-250.020.110.230.250.792.004.907.817.810.197.81
债券型006097平安高等级债A1.06142025-03-250.010.13-0.10-0.290.792.565.117.5114.49-0.5218.03
债券型005677安信永盛定开债券1.06032025-03-250.010.080.170.110.792.094.557.0712.270.0421.47
债券型017105光大荣利纯债债券A1.05672025-03-250.040.21-0.14-0.910.792.766.246.736.73-1.126.73
债券型008700泰康瑞丰3月定开债券1.21952025-03-250.020.200.110.380.784.9111.4114.4921.95-0.0221.95
债券型006387宝盈安泰短债债券A1.18502025-03-250.020.140.180.170.782.256.068.0715.440.1122.25
债券型970004安信瑞鸿中短债B1.17622025-03-250.010.040.120.190.781.975.298.1314.960.1514.96
债券型003682博时安弘一年定开债发起式A1.16142025-03-250.110.48-0.22-0.530.782.827.9011.4913.93-0.6834.37
债券型007659博时富汇3个月定开债发起式1.15272025-03-250.030.420.260.030.782.768.1210.0817.06-0.2520.48
债券型006798嘉实中短债债券C1.12922025-03-250.040.170.200.080.782.336.488.9714.80-0.0820.10
债券型008772南方昭元债券C1.12692025-03-250.060.290.18-0.070.782.523.697.7512.69-0.3312.69
债券型007500鹏华尊诚定开债发起式1.12372025-03-250.030.150.11-0.070.782.987.736.3013.16-0.2517.97
债券型007440南方旭元债券A1.12262025-03-250.080.42-0.31-0.760.783.457.449.9817.77-1.1322.33
债券型000306天弘弘利债券A1.11882025-03-250.010.150.190.220.783.3711.2013.9919.180.1166.21
债券型006776华夏鼎略债券A1.11802025-03-250.020.090.190.170.782.054.917.8313.610.0918.71
债券型009042浦银安盛普天纯债债券C1.11542025-03-250.030.220.23-0.030.782.666.838.8911.54-0.1311.54
债券型008565泰康安泽中短债A1.10822025-03-250.010.060.160.240.781.905.188.4010.820.1710.82
债券型019289交银裕如纯债债券E1.10712025-03-250.050.32-0.38-0.720.783.126.746.746.74-0.986.74
债券型013838中银恒嘉60天滚动持有短债A1.10332025-03-250.010.110.120.160.782.436.339.3110.330.0710.33
债券型011263华夏鼎英债券C1.10332025-03-250.030.170.08-0.240.783.039.0712.8914.55-0.3614.55
债券型016172鹏扬利泽债券D1.10282025-03-250.030.160.200.050.782.205.597.467.46-0.057.46
债券型014195泰信添利30天持有债券发起式A1.10012025-03-250.020.090.110.350.781.735.959.9410.010.2710.01
债券型970140国元元赢30天持有期债券A1.09832025-03-250.020.090.140.150.782.075.649.029.020.109.02
债券型013564银华季季盈3个月滚动持有债券B1.09062025-03-250.020.120.210.080.781.774.307.769.060.009.06
债券型021433融通债券D1.08522025-03-250.080.320.340.280.782.832.832.832.830.132.83
债券型161653融通债券A/B1.08512025-03-250.070.320.330.270.783.497.3814.1619.700.13193.35
债券型161603融通债券A/B1.08512025-03-250.070.320.330.270.783.497.3814.1619.700.13193.35
债券型018670兴华安惠纯债C1.08432025-03-250.170.84-0.79-0.590.784.438.758.758.75-1.428.75
债券型010324广发招财短债债券E1.05962025-03-250.020.080.190.260.781.765.608.3811.630.2211.63
债券型017562融通中证中诚信央企信用债指数C1.05842025-03-250.060.260.170.090.782.465.845.845.840.005.84
债券型002830浙商惠丰定开债1.05842025-03-250.000.030.080.440.782.726.339.0116.370.4335.45
债券型018509国泰君安君享利30天滚动持有债券1.05672025-03-250.050.120.170.230.782.875.675.675.670.095.67
债券型017007永赢月月享30天持有期短债C1.05522025-03-250.030.150.140.150.781.975.525.525.520.025.52
债券型016793大成惠昭一年定开债发起1.05072025-03-250.050.270.11-0.180.782.907.007.177.17-0.397.17
债券型952001国泰君安君得利短债A1.04782025-03-250.020.090.140.180.782.055.728.288.320.128.32


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