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%
混合型019134海富通欣盈6个月持有期混合A1.05292025-03-250.06-0.090.812.105.085.295.295.295.292.005.29
混合型011534万家民瑞祥明6个月持有混合A1.03032025-03-25-0.02-0.670.101.345.084.462.272.773.031.423.03
混合型960005摩根双息平衡混合H0.83502025-03-250.130.083.14-0.675.082.082.15-3.3813.09-0.83-14.65
股票型001703银华沪港深增长股票A1.84202025-03-260.05-2.131.437.535.087.97-11.27-8.0819.388.3596.00
混合型016351招商碳中和主题混合C0.52572025-03-25-1.54-6.48-5.500.115.08-6.49-36.31-47.43-47.434.41-47.43
混合型013678富国信享回报12个月持有混合A1.13422025-03-25-0.34-1.030.592.465.075.7413.4914.1013.422.3813.42
混合型010547博时恒进持有期混合A1.07462025-03-25-0.31-1.12-1.94-0.195.073.673.514.837.460.047.46
混合型010189中欧添益一年混合C1.07062025-03-250.01-0.72-0.72-0.215.074.212.984.727.06-0.257.06
混合型960001广发行业领先混合H1.03602025-03-250.780.104.75-0.385.071.47-8.721.5742.111.871.77
混合型013635申万菱信双利混合C0.92872025-03-25-0.15-0.96-1.27-0.045.074.17-2.70-0.29-7.130.24-7.13
债券型019109泰康丰盈债券C1.39612025-03-25-0.04-0.81-1.032.965.076.536.186.186.182.896.18
债券型001976海富通一年定开债C1.16312025-03-250.300.40-0.201.085.077.579.5710.8716.650.5534.42
指数型022945华夏上证科创板50成份ETF联接Y0.82822025-03-26-0.23-4.25-8.45-0.055.065.065.065.065.063.425.06
指数型006439博时央调ETF联接C1.33162025-03-26-0.37-0.98-1.07-4.245.066.27-1.129.6639.01-3.7333.16
混合型010292东方红核心优选定开混合C1.32292025-03-210.00-0.17-0.230.575.064.246.208.0214.020.3814.02
混合型001375金元顺安优质精选混合C1.16662025-03-250.990.523.983.205.06-16.77-26.15-21.305.483.0211.85
股票型022945华夏上证科创板50成份ETF联接Y0.82822025-03-26-0.23-4.25-8.45-0.055.065.065.065.065.063.425.06
股票型006439博时央调ETF联接C1.33162025-03-26-0.37-0.98-1.07-4.245.066.27-1.129.6639.01-3.7333.16
混合型270012广发稳健增长混合A1.50582025-03-250.380.433.622.075.063.93-2.37-1.038.052.761070.50
混合型270002广发稳健增长混合A1.50582025-03-250.380.433.622.075.063.93-2.37-1.038.052.761070.50
混合型004837国联鑫价值混合C0.90222025-03-250.410.42-0.040.485.05-0.65-6.24-8.67-6.640.28-9.79
混合型373010摩根双息平衡混合A0.83492025-03-250.120.073.13-0.655.052.252.47-2.9313.87-0.81270.59
指数型310398申万菱信沪深300价值指数A1.06062025-03-26-0.70-1.391.15-1.715.0515.5919.3320.3240.44-1.62115.90
股票型000955南方产业活力1.42612025-03-26-0.50-0.313.03-0.545.0513.63-0.48-1.3110.64-0.6142.61
股票型310398申万菱信沪深300价值指数A1.06062025-03-26-0.70-1.391.15-1.715.0515.5919.3320.3240.44-1.62115.90
股票型004403平安股息精选沪港深A1.36012025-03-26-0.26-0.772.151.145.045.487.373.7834.520.2236.01
混合型004442中欧康裕混合A1.24482025-03-25-0.02-0.090.450.855.045.324.114.5319.030.8943.82
混合型014888东方红锦融甄选18个月持有混合A1.08172025-03-250.06-0.24-0.400.395.044.406.199.208.170.278.17
混合型021627华富半导体产业混合发起式C1.05042025-03-25-1.74-6.25-9.733.555.045.045.045.045.045.005.04
混合型005266博时厚泽回报混合C1.37902025-03-25-1.20-2.83-1.90-1.855.04-4.18-16.94-20.2725.380.0856.44
QDII型019550华夏全球股票美元现钞(QDII)0.16462025-03-241.601.42-2.43-1.975.0414.4634.8134.8134.810.3034.81
QDII型019549华夏全球股票美元现汇(QDII)0.16462025-03-241.601.42-2.43-1.975.0414.4634.8134.8134.810.3034.81
债券型019285平安惠旭纯债A1.05652025-03-250.090.120.09-1.465.046.317.757.757.75-1.767.75
债券型530008建信稳定增利债券C2.00402025-03-250.15-0.40-0.301.265.034.273.467.6314.051.01158.50
混合型010056平安瑞兴1年持有混合A1.34442025-03-25-0.01-0.28-0.520.695.039.3520.6329.2834.440.6934.44
混合型011515中海海誉混合C0.93902025-03-25-0.39-0.91-1.04-0.355.032.60-2.49-1.76-6.10-0.33-6.10
混合型013769博时稳益9个月持有混合A1.10632025-03-25-0.010.020.10-0.345.027.6810.0211.7610.63-0.6210.63
混合型013244天弘安康颐丰一年持有混合C1.05392025-03-250.06-0.120.811.475.025.725.535.395.391.275.39
债券型012746富国双利增强债券A0.99612025-03-250.11-0.250.290.115.026.553.133.01-0.390.18-0.39
股票型011143创金合信新材料新能源股票C0.84782025-03-260.58-6.20-10.66-7.175.02-1.35-20.48-28.44-15.22-4.42-15.22
股票型022845鹏华上证科创100ETF联接I1.05022025-03-260.44-4.53-6.913.985.025.025.025.025.029.175.02
股票型160919大成产业升级股票(LOF)A2.90432025-03-260.30-0.860.50-2.855.029.801.1212.4892.21-3.23174.22
指数型022845鹏华上证科创100ETF联接I1.05022025-03-260.44-4.53-6.913.985.025.025.025.025.029.175.02
QDII型270023广发全球精选股票(QDII)人民币A3.81462025-03-241.911.39-3.72-5.905.025.7675.6355.44146.10-2.91406.49
债券型012747富国双利增强债券C0.99062025-03-250.12-0.240.290.115.016.533.102.62-0.940.18-0.94
混合型009900易方达磐固六个月持有期混合A1.08192025-03-250.06-0.02-0.020.695.014.454.925.3110.300.5910.30
混合型011096博时恒泽混合C1.07852025-03-25-0.04-0.170.33-0.605.017.168.238.977.85-0.847.85
混合型010532广发恒信一年持有期混合A1.01152025-03-250.15-0.060.760.975.012.82-1.131.101.151.141.15
混合型012278国泰佳益混合C0.93752025-03-25-0.03-0.68-0.640.735.013.26-2.00-3.73-6.250.89-6.25
指数型022151国投瑞银中证港股通央企红利指数1.05012025-03-26-0.34-2.261.065.875.015.015.015.015.012.085.01
股票型022725博时上证科创板芯片ETF发起式联接1.05012025-03-260.22-4.39-8.655.015.015.015.015.015.015.015.01
股票型022004博道大盘成长股票C1.05012025-03-26-0.15-1.601.174.275.015.015.015.015.015.145.01
股票型022151国投瑞银中证港股通央企红利指数1.05012025-03-26-0.34-2.261.065.875.015.015.015.015.012.085.01
指数型022725博时上证科创板芯片ETF发起式联接1.05012025-03-260.22-4.39-8.655.015.015.015.015.015.015.015.01
股票型022626诺安中证A100指数D1.86902025-03-26-0.43-2.50-0.690.435.005.005.005.005.001.585.00
混合型006540南方绩优成长混合C0.81442025-03-25-0.31-1.64-0.02-1.635.004.99-2.58-3.818.13-1.0260.86
指数型022626诺安中证A100指数D1.86902025-03-26-0.43-2.50-0.690.435.005.005.005.005.001.585.00
股票型022726博时上证科创板芯片ETF发起式联接1.04992025-03-260.22-4.40-8.654.994.994.994.994.994.994.994.99
指数型022726博时上证科创板芯片ETF发起式联接1.04992025-03-260.22-4.40-8.654.994.994.994.994.994.994.994.99
QDII型006426汇添富全球移动互联混合(QDII)美3.62292025-03-241.860.76-5.56-6.814.998.618.618.618.61-3.718.61
债券型970092安信资管瑞丰6个月持有债券C1.00222025-03-130.000.01-0.11-1.154.991.40-1.72-1.67-1.67-0.69-1.67
债券型013614泰信鑫瑞债券发起式A0.93412025-03-250.050.010.170.304.993.840.07-6.48-6.590.26-6.59
混合型004455中欧康裕混合C1.23782025-03-25-0.02-0.090.440.834.995.223.914.2318.450.8743.06
混合型012609安信稳健汇利一年持有混合A1.14752025-03-250.03-0.060.780.364.986.316.6210.7114.750.3914.75
混合型011873中邮悦享6个月持有期混合C1.09182025-03-250.03-1.27-1.76-0.074.987.498.859.189.18-0.289.18
QDII型005676易方达标普消费品指数C2.84602025-03-240.42-0.94-7.90-3.104.98-4.270.8111.1379.11-1.9661.98
债券型017420易方达裕祥回报债券C1.54202025-03-250.13-0.130.520.664.985.758.638.498.490.548.49
债券型003181前海联合添利债券C1.21132025-03-250.03-0.68-1.091.374.985.253.585.2618.511.7527.17
债券型003180前海联合添利债券A1.18592025-03-250.03-0.69-1.091.374.985.243.605.4819.631.7424.63
债券型015931金鹰恒润债券发起式A1.10122025-03-25-0.17-0.33-0.121.134.987.478.9610.1210.120.9310.12
债券型016958招商安颐稳健债券C1.06632025-03-250.02-0.090.310.404.985.546.416.636.630.296.63
债券型016716建信渤泰债券C1.06612025-03-25-0.09-0.360.280.844.985.416.736.616.610.906.61
股票型014380建信中国制造2025股票C1.45062025-03-260.01-8.35-7.29-9.944.98-3.00-21.65-37.37-44.25-9.01-44.25
混合型000591中银健康生活混合1.89802025-03-25-1.71-5.29-6.64-2.164.986.09-10.09-16.2018.18-1.5689.80
混合型270022广发内需增长混合A1.70602025-03-25-0.41-2.350.71-3.674.987.572.091.3170.60-2.7486.69
混合型008297广发价值优势混合1.42042025-03-25-0.20-2.631.04-3.404.987.70-0.13-0.0453.56-2.3942.04
指数型257060国联安上证商品ETF联接A1.11622025-03-26-0.411.045.721.784.975.866.232.96122.622.6411.62
债券型022219华润元大双鑫债券D1.29582025-03-25-0.39-1.07-1.680.154.975.705.705.705.700.375.70
债券型003680华润元大双鑫债券A1.29582025-03-25-0.39-1.07-1.680.154.976.2910.878.1319.670.3729.57
债券型163806中银增利债券1.17252025-03-250.09-0.30-0.341.734.977.009.9514.4712.101.58115.35
债券型018772南方惠享稳健添利债券A1.06982025-03-250.03-0.17-0.45-0.294.975.346.986.986.98-0.696.98
股票型016726农银品质农业股票C0.73542025-03-260.41-0.123.62-1.044.97-11.81-23.96-26.46-26.46-0.81-26.46
股票型257060国联安上证商品ETF联接A1.11622025-03-26-0.411.045.721.784.975.866.232.96122.622.6411.62
股票型021691招商资管北证50成份指数发起C1.04962025-03-26-0.16-4.15-0.4318.684.964.964.964.964.9626.124.96
股票型008860民生加银龙头优选股票A1.00872025-03-26-0.23-2.021.982.904.968.06-4.02-18.171.303.190.87
股票型014623中银MSCI中国A50互联互通指数增强1.19852025-03-26-0.38-2.20-0.61-0.934.969.7419.8519.8519.850.1419.85
债券型007951招商信用增强债券C1.04032025-03-250.09-0.200.331.224.966.359.1311.8918.831.1623.28
混合型005059南方安福混合A1.12442025-03-250.07-0.021.040.334.964.991.314.4323.500.3938.38
混合型015268招商瑞联1年持有混合A1.04572025-03-25-0.12-0.690.111.004.964.403.524.574.571.324.57
混合型012005信澳恒盛混合A0.94552025-03-250.00-0.260.601.624.966.58-2.58-0.03-5.451.32-5.45
指数型021691招商资管北证50成份指数发起C1.04962025-03-26-0.16-4.15-0.4318.684.964.964.964.964.9626.124.96
指数型014623中银MSCI中国A50互联互通指数增强1.19852025-03-26-0.38-2.20-0.61-0.934.969.7419.8519.8519.850.1419.85
债券型013215大摩安盈稳固六个月持有债券C1.09932025-03-250.140.26-0.102.064.958.0410.019.939.931.669.93
混合型001610平安鑫享混合C1.60232025-03-25-0.03-0.09-0.061.984.955.1713.5912.0030.351.9760.23
股票型007675工银产业升级股票C1.03202025-03-26-0.22-3.96-4.672.544.957.85-23.45-31.723.794.253.20
混合型009663华泰紫金创新先锋混合(LOF)A0.90872025-03-25-0.14-2.16-2.51-2.844.950.59-10.82-16.35-9.13-1.51-9.13
混合型004756国寿安保稳吉混合A1.21402025-03-250.16-1.84-1.06-0.874.948.7910.459.3833.16-0.8251.20
混合型015098中欧鑫享鼎益一年持有混合A1.06972025-03-250.02-0.220.451.084.945.414.357.046.970.946.97
混合型001563华富健康文娱灵活配置混合A0.81822025-03-25-1.87-5.99-5.32-6.484.94-21.53-25.95-25.35-27.34-3.32-6.41
混合型016594易方达安心回馈混合C2.35902025-03-25-0.13-0.300.301.294.943.872.52-3.95-3.951.24-3.95
混合型519127浦银盛世A1.70102025-03-25-0.35-1.39-1.511.864.940.95-8.00-11.418.252.1686.73
指数型016204东方沪深300指数增强A1.04762025-03-26-0.30-1.86-0.82-2.754.947.553.264.764.76-1.454.76
股票型016204东方沪深300指数增强A1.04762025-03-26-0.30-1.86-0.82-2.754.947.553.264.764.76-1.454.76
股票型011473工银战略转型股票C3.36502025-03-26-0.18-1.900.09-1.904.935.52-10.15-10.054.67-1.154.67
股票型007784广发央企创新驱动ETF联接A1.58352025-03-26-0.38-0.75-1.14-3.204.935.743.6520.1460.92-2.5158.35
指数型007784广发央企创新驱动ETF联接A1.58352025-03-26-0.38-0.75-1.14-3.204.935.743.6520.1460.92-2.5158.35
债券型051106博时稳定价值债券A1.33302025-03-250.12-0.71-0.701.134.936.049.5611.4824.290.95173.74
债券型050106博时稳定价值债券A1.33302025-03-250.12-0.71-0.701.134.936.049.5611.4824.290.95173.74
债券型020034国泰民安增利债券C1.13182025-03-25-0.06-0.39-0.360.214.934.633.504.698.220.1965.53
指数型021561天弘中证央企红利50指数发起A1.05392025-03-26-0.100.572.47-2.494.925.395.395.395.39-1.905.39
债券型470088汇添富6月红定期开放债券A1.02872025-03-250.220.070.520.624.925.866.827.3519.420.4672.07
混合型011789工银聚益混合C0.97672025-03-250.01-0.230.790.344.925.442.532.34-2.330.25-2.33
股票型021561天弘中证央企红利50指数发起A1.05392025-03-26-0.100.572.47-2.494.925.395.395.395.39-1.905.39
股票型007674工银产业升级股票A1.07132025-03-26-0.22-3.94-4.612.754.928.21-22.58-30.397.524.457.13
股票型010495创金合信创新驱动股票A0.68582025-03-260.15-2.39-2.70-2.574.91-0.88-19.48-16.77-31.42-1.20-31.42
债券型003723华润元大双鑫债券C1.26852025-03-25-0.38-1.07-1.680.134.916.1910.647.5518.040.3626.84
混合型010057平安瑞兴1年持有混合C1.31792025-03-25-0.02-0.29-0.530.644.919.0319.6827.6231.790.6531.79
混合型014987华安产业趋势混合A0.66462025-03-25-1.17-7.57-7.402.074.91-11.09-28.93-33.54-33.544.01-33.54
混合型011261金鹰新能源混合C0.93852025-03-25-1.65-3.36-4.55-1.064.903.30-15.63-21.48-6.15-0.33-6.15
混合型015293金鹰时代领航一年持有混合A0.67412025-03-25-1.23-5.32-6.00-2.804.90-9.40-33.91-32.59-32.59-1.29-32.59
股票型015468嘉实农业产业股票C0.59912025-03-260.760.202.74-2.004.90-15.05-32.84-40.09-40.09-2.63-40.09
股票型022152国投瑞银中证港股通央企红利指数1.04902025-03-26-0.34-2.261.045.784.904.904.904.904.902.004.90
股票型021280富国国证疫苗与生物科技ETF发起式0.90632025-03-26-0.41-2.74-2.58-2.994.90-9.37-9.37-9.37-9.37-0.79-9.37
指数型022152国投瑞银中证港股通央企红利指数1.04902025-03-26-0.34-2.261.045.784.904.904.904.904.902.004.90
指数型021280富国国证疫苗与生物科技ETF发起式0.90632025-03-26-0.41-2.74-2.58-2.994.90-9.37-9.37-9.37-9.37-0.79-9.37
债券型000692汇添富双利债券C1.79982025-03-250.210.020.210.804.896.287.136.8317.640.7189.41
债券型002969易方达丰和债券A1.40362025-03-250.100.000.410.194.896.115.517.1621.61-0.3851.71
债券型161014富国汇利回报两年定期开放债券1.36112025-03-250.08-0.31-0.300.684.894.666.649.8520.050.55124.55
混合型920187中金丰裕稳健一年持有混合A1.24502025-03-25-0.01-0.99-1.37-0.204.893.834.863.313.310.073.31
混合型008324宝盈祥利稳健配置混合A1.14792025-03-250.010.020.040.754.892.930.633.3815.110.3514.79
股票型022831华商电子行业量化股票发起式C1.64812025-03-260.16-4.01-8.43-0.364.894.894.894.894.894.154.89
股票型007287合煦智远消费主题股票发起式A1.13732025-03-260.41-1.641.241.114.883.23-6.159.8623.001.7513.73
股票型007800申万菱信沪深300价值指数C1.03582025-03-26-0.70-1.391.12-1.794.8815.2418.6119.2238.36-1.7028.66
指数型007800申万菱信沪深300价值指数C1.03582025-03-26-0.70-1.391.12-1.794.8815.2418.6119.2238.36-1.7028.66
债券型206003鹏华信用增利债券A1.32372025-03-250.36-0.731.293.084.886.023.702.9215.993.2194.91
混合型660012农银消费主题混合A3.08232025-03-25-0.25-1.154.94-3.404.880.08-15.91-16.6015.47-3.02231.31
混合型006243中银双息回报混合A1.62602025-03-250.01-0.293.061.314.887.677.64-3.1236.310.8368.44
混合型550003中信保诚盛世蓝筹混合1.21742025-03-25-0.14-1.840.11-0.504.885.54-8.69-16.19-2.900.96296.84
混合型017882工银精选回报混合C1.20422025-03-250.01-2.082.553.114.8814.3720.4220.4220.422.7020.42
混合型001756嘉实策略优选混合1.13902025-03-25-0.09-0.26-1.130.354.885.175.958.9837.800.2668.98
混合型017617华泰柏瑞招享6个月持有期混合A1.08302025-03-250.07-0.050.601.024.885.839.9710.5310.530.9910.53
混合型010548博时恒进持有期混合C1.05622025-03-25-0.30-1.13-1.98-0.284.883.262.683.585.62-0.055.62
混合型019135海富通欣盈6个月持有期混合C1.04872025-03-250.07-0.100.792.014.874.874.874.874.871.904.87
指数型007785广发央企创新驱动ETF联接C1.57482025-03-26-0.39-0.76-1.15-3.234.875.623.4419.7760.11-2.5457.48
股票型007785广发央企创新驱动ETF联接C1.57482025-03-26-0.39-0.76-1.15-3.234.875.623.4419.7760.11-2.5457.48
债券型620003金元顺安丰利债券A1.00262025-03-250.07-0.01-0.070.464.871.89-3.15-4.01-2.270.4140.42
混合型007243安信核心竞争力混合A1.53972025-03-250.09-1.74-2.24-0.924.862.19-5.18-11.9533.560.0853.97
混合型009326广发稳健增长混合C1.47942025-03-250.380.423.591.974.863.52-3.14-2.21-1.882.66-1.88
混合型519177浦银盛世C1.35902025-03-25-0.37-1.38-1.521.804.860.74-8.42-11.927.172.1052.40
指数型019365汇添富中证国新央企股东回报ETF联1.06242025-03-26-0.280.382.11-2.474.868.117.917.917.91-1.847.91


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