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690007民生加银景气行业混合A3.23202025-03-250.400.502.900.726.394.83-10.15-22.103.991.35223.20
混合型005049长安鑫旺价值混合A2.09472025-03-25-0.19-0.414.402.8618.714.83-10.56-21.1631.222.98109.45
QDII型008320鹏华全球中短债(QDII)人民币C0.54092025-03-24-0.070.130.972.893.404.837.7922.93-42.182.70-45.80
股票型007388摩根研究驱动股票A0.92052025-03-26-0.07-3.62-3.67-1.804.544.83-12.57-21.97-7.95-0.86-7.95
股票型022104广发创新药ETF联接F0.51232025-03-26-0.19-2.97-1.441.654.834.834.834.834.833.294.83
债券型017137长盛盛逸9个月持有期债券A1.05582025-03-250.120.12-0.030.292.894.828.948.948.940.018.94
混合型002222嘉实新趋势混合A1.55802025-03-250.040.220.430.262.564.824.358.2739.02-0.0167.80
混合型008221兴业聚鑫灵活配置混合C1.47902025-03-25-0.07-0.34-1.000.348.194.824.894.8918.510.1425.23
混合型001711安信新趋势混合C1.23922025-03-250.03-0.080.580.004.024.826.019.3724.120.0951.45
混合型017541安信稳健增益6个月持有混合C1.04212025-03-250.03-0.150.820.344.324.824.214.214.210.424.21
混合型012486建信汇益一年持有混合C1.02062025-03-25-0.04-0.510.201.035.514.822.964.712.061.272.06
混合型019753海富通悦享一年持有期混合C1.04012025-03-250.05-0.120.350.693.894.816.056.056.050.566.05
混合型013929中银证券恒瑞9个月持有混合A0.97842025-03-25-0.21-0.87-0.320.916.364.812.702.54-2.160.97-2.16
混合型016755方正富邦均衡精选混合C0.95892025-03-250.150.39-0.260.163.934.81-4.11-4.11-4.11-0.21-4.11
股票型006346安信量化优选股票A1.85032025-03-25-0.95-3.88-1.121.5516.064.81-5.18-2.5729.322.2585.03
股票型006346安信量化优选股票A1.85032025-03-25-0.95-3.88-1.121.5516.064.81-5.18-2.5729.322.2585.03
债券型000131大成景兴信用债债券C1.55022025-03-250.07-0.060.080.512.694.818.4411.0121.240.3297.06
混合型020693长城健康消费混合C0.58782025-03-25-1.97-4.663.544.8117.404.8112.0912.0912.095.7012.09
股票型005621中欧品质消费股票C1.07652025-03-261.17-3.814.668.8913.764.80-14.31-26.96-22.399.5720.50
混合型001562易方达瑞和灵活配置混合1.77122025-03-250.190.580.71-1.052.564.808.2010.6326.42-1.3384.07
混合型009032工银聚和一年定开混合C1.22312025-03-25-0.09-0.310.721.093.404.806.228.2222.311.0722.31
混合型012113融通稳健增长一年持有期混合A1.06682025-03-250.160.290.25-0.112.524.802.827.436.68-0.046.68
混合型018425路博迈中国机遇混合C0.96862025-03-25-1.18-3.87-3.508.7618.434.80-3.14-3.14-3.1410.67-3.14
混合型011991汇安泓利一年持有期混合A0.95582025-03-250.07-0.140.440.823.564.80-0.20-4.94-4.420.75-4.42
混合型013617广发睿智两年持有期混合发起式C0.89672025-03-25-1.33-4.451.494.212.194.80-10.21-10.33-10.335.63-10.33
债券型005448诺安联创顺鑫A1.24772025-03-250.140.63-0.520.162.004.8010.7712.9519.56-0.4951.82
债券型000352国富恒丰一年持有期债券C1.10342025-03-250.10-0.04-0.230.051.504.809.7712.9518.31-0.2069.03
债券型009943浦银安盛稳健丰利债券A1.07152025-03-25-0.06-0.36-0.270.733.244.804.925.957.150.727.15
债券型018445东财瑞利债券C1.06932025-03-250.070.330.560.162.784.806.936.936.93-0.076.93
债券型450005国富强化收益债券A1.06482025-03-250.01-0.27-0.01-0.012.754.804.806.7516.94-0.27127.08
债券型021352博时富华纯债债券C1.05622025-03-250.080.28-0.08-0.512.204.804.804.804.80-0.724.80
债券型005273华商可转债债券A1.61162025-03-250.63-0.992.243.7915.644.796.064.5145.494.9361.16
债券型009291富国添享一年持有期债券C1.18272025-03-250.090.140.090.443.744.797.5910.0318.270.2818.27
债券型016213中银证券安添3个月定开债C1.08562025-03-240.060.430.010.591.884.798.248.568.56-0.248.56
债券型003301华夏鼎融债券A1.08092025-03-250.06-0.150.530.483.504.796.415.7622.580.1934.98
债券型013062国寿安保安诚纯债一年定开债1.06732025-03-210.00-0.10-0.61-0.472.114.799.0810.8110.81-0.8410.81
债券型012338中信建投双鑫债券A1.04622025-03-250.05-0.15-0.251.264.084.795.505.514.620.554.62
债券型014486汇添富淳享一年定开债券发起式A1.03822025-03-250.120.500.070.041.394.7911.4111.7111.71-0.3211.71
债券型016611富国稳健添盈债券C1.02342025-03-25-0.27-0.691.341.725.514.792.342.342.341.812.34
混合型920921中金安心回报灵活配置混合C1.06622025-03-25-0.23-0.590.390.853.734.79-0.10-14.89-13.060.83-13.06
混合型014901兴证全球兴裕混合C0.98142025-03-250.06-0.340.451.125.334.793.51-1.86-1.860.76-1.86
混合型014214光大核心资产混合A0.89912025-03-25-0.85-1.990.815.426.534.79-6.43-10.09-10.096.30-10.09
混合型012483前海开源优质龙头6个月持有混合A0.69382025-03-25-0.76-3.49-0.16-0.6710.904.79-15.04-16.63-30.620.70-30.62
混合型019822长城稳健成长混合C1.29652025-03-25-0.20-1.501.000.225.274.784.974.974.970.574.97
混合型002935泰康恒泰回报混合C1.10482025-03-25-0.05-0.230.241.074.204.785.522.1119.881.1750.22
混合型015406国寿安保稳信混合E1.03062025-03-250.00-0.670.981.737.814.783.703.583.061.433.06
混合型014660金元顺安行业精选混合C0.76002025-03-250.220.300.18-1.4710.844.78-17.62-24.00-24.00-0.95-24.00
债券型004386广发汇安18个月定开债A1.27652025-03-210.000.16-0.84-0.790.814.7810.2214.4420.57-1.0542.39
债券型007964华宝宝康债券C1.24602025-03-250.100.02-0.320.993.614.786.749.4217.660.8720.96
混合型014245鹏扬竞争力先锋一年持有混合C0.57032025-03-25-0.78-3.654.116.7216.294.78-19.81-34.85-42.977.93-42.97
债券型014973景顺长城景泰悦利三个月定开债A1.03502025-03-250.070.30-0.23-0.531.354.789.3412.0512.10-0.6712.10
债券型016914博时富泽金融债A1.02082025-03-250.010.550.360.641.774.789.109.829.820.159.82
混合型004720华夏睿磐泰茂混合A1.35152025-03-250.00-0.310.420.353.124.785.676.5828.530.1538.05
债券型018623海富通盈丰一年定开债券发起式1.05362025-03-250.100.42-0.27-0.312.884.776.416.416.41-0.876.41
债券型006237永赢嘉益债券1.04822025-03-250.020.13-0.30-0.851.594.779.1512.3718.49-1.1425.53
混合型900010中信卓越成长两年持有混合A1.81952025-03-25-0.17-2.643.287.767.314.776.729.1222.808.0122.80
混合型004011华泰柏瑞鼎利灵活配置混合C1.63752025-03-250.090.030.680.564.014.777.9214.9249.420.5689.56
债券型002524兴业福益债券A1.15952025-03-250.110.160.030.193.974.779.4211.9421.44-0.0435.11
债券型018479东方红6个月持有债券A1.05942025-03-250.13-0.060.050.503.614.775.945.945.940.255.94
混合型011720易方达悦信一年持有混合A1.08002025-03-250.090.250.471.214.074.777.728.268.001.068.00
混合型014764鹏华鑫华一年持有期混合C0.99212025-02-210.010.080.120.321.814.771.22-0.79-0.79-0.30-0.79
混合型014158博时浦惠一年持有期混合A0.93922025-03-25-0.100.583.162.3810.854.77-5.15-5.69-6.083.52-6.08
混合型009011华夏睿阳一年持有混合0.90232025-03-25-0.99-2.573.100.458.374.77-14.00-17.76-9.860.80-9.77
混合型015604华安动力领航混合A0.88982025-03-25-3.27-7.12-5.492.848.084.77-6.54-11.02-11.022.38-11.02
混合型004916嘉实新添丰定期混合1.29662025-03-250.02-0.18-0.381.144.624.762.935.5521.650.8036.89
混合型004618建信鑫稳回报灵活配置混合C1.25162025-03-250.000.010.400.584.514.763.124.4537.750.8348.87
混合型001943前海开源沪港深汇鑫混合C1.10002025-03-250.731.29-1.521.7610.444.764.17-3.685.541.2064.53
混合型020669国投瑞银弘信回报混合A1.04742025-03-25-0.08-1.771.25-1.445.874.764.744.744.74-1.154.74
混合型009234鹏华优质企业混合A0.82072025-03-250.82-2.133.563.0918.774.76-16.91-32.21-17.933.98-17.93
债券型021055永赢伟益债券C1.17962025-03-250.090.51-0.35-0.500.954.764.764.764.76-0.934.76
债券型162716广发聚源债券(LOF)C1.15862025-03-250.040.18-0.22-0.271.134.769.2812.8417.79-0.7044.85
债券型013545华夏卓信一年定开债券发起式1.10672025-03-250.110.110.490.483.044.768.6210.6710.670.1410.67
债券型011038新华利率债债券A1.04552025-03-250.010.110.060.171.664.768.1410.4114.65-0.1914.65
债券型519682交银增利债券C1.03642025-03-250.12-0.21-0.120.913.544.766.988.6819.910.71129.71
债券型014102鹏扬中债3-5年国开债指数C1.03442025-03-250.000.13-0.04-0.531.134.7610.1011.6711.67-0.8211.67
债券型016987淳厚瑞和债券C1.02052025-03-250.020.040.070.631.684.768.879.489.480.309.48
混合型005978中信保诚至兴混合C1.38822025-03-25-2.09-7.11-6.33-4.4316.064.76-17.58-33.8129.58-1.2938.82
混合型290006泰信蓝筹精选混合1.36772025-03-250.58-0.823.53-0.7315.814.76-11.37-10.4148.390.28107.10
债券型008345南华瑞泽债券A1.01502025-03-250.41-1.46-0.062.576.834.752.27-0.0510.983.0511.40
混合型012660华安新乐享灵活配置混合C1.55682025-03-250.010.070.140.764.114.757.129.5218.880.5518.88
指数型165525中信保诚中证基建工程指数(LOF)A0.71932025-03-26-0.32-0.66-0.90-4.147.044.75-13.78-5.846.88-3.03-27.47
债券型003472前海联合添鑫3个月开债C1.16132025-03-21-0.45-0.65-1.55-0.195.284.753.374.299.75-0.2721.09
债券型020958平安惠涌纯债C1.12842025-03-250.030.20-0.04-0.321.334.754.914.914.91-0.534.91
债券型092002大成债券C1.10662025-03-250.13-0.49-0.810.583.894.754.195.8515.310.43183.13
债券型019491大成景熙利率债A1.06332025-03-250.080.35-0.52-0.801.234.756.856.856.85-1.266.85
债券型019492大成景熙利率债C1.06242025-03-250.080.35-0.52-0.831.294.756.766.766.76-1.276.76
混合型010257天弘多利一年1.02062025-03-210.00-0.52-0.09-1.754.304.755.101.846.88-1.716.88
混合型006574人保行业轮动混合C0.98632025-03-25-1.79-5.75-2.324.0925.104.75-28.86-36.45-12.345.57-1.37
混合型018249中欧致和混合C0.90842025-03-25-2.55-8.27-9.75-0.935.734.75-9.16-9.16-9.160.43-9.16
混合型010624富国稳健增长混合A0.69182025-03-25-0.63-2.59-0.735.0624.314.75-16.79-14.47-30.826.41-30.82
混合型009659民生加银新动能一年定开混合A0.67252025-03-25-1.85-4.68-5.764.8722.564.75-7.43-16.25-29.595.06-29.59
股票型004241中欧时代先锋股票C1.22812025-03-26-0.13-2.20-2.960.944.264.75-6.91-14.2319.053.34118.69
股票型165525中信保诚中证基建工程指数(LOF)A0.71932025-03-26-0.32-0.66-0.90-4.147.044.75-13.78-5.846.88-3.03-27.47
QDII型873021广发全球精选一年持有债券(QDII)0.15442025-03-24-0.130.060.461.310.854.758.1210.602.861.452.86
混合型010345华泰柏瑞成长智选混合A0.57842025-03-25-0.651.334.596.5625.714.74-37.17-43.21-42.166.85-42.16
混合型019215景顺长城量化平衡混合C1.13882025-03-25-0.38-2.92-0.351.0015.764.74-1.96-1.96-1.962.07-1.96
混合型009811易方达悦通一年持有期混合C1.12222025-03-250.130.400.64-0.762.104.747.629.0812.22-1.0012.22
混合型008564银河臻优稳健配置混合C1.09142025-03-250.060.060.680.713.674.743.374.2012.950.6912.95
混合型013830中欧瑾尚混合A0.93452025-03-250.25-0.031.321.193.554.74-3.46-1.95-6.551.06-6.55
债券型010581中信建投中债3-5年政金债A1.03912025-03-250.050.27-0.21-0.861.004.7410.1912.9416.49-1.1916.49
债券型014492浙商汇金兴利增强债券A1.00412025-03-250.02-1.70-1.751.856.154.741.940.420.411.910.41
债券型020192南方晖元6个月持有期债券E0.97712025-03-250.02-0.15-0.010.582.274.745.345.345.340.375.34
指数型006724工银深证红利ETF联接C1.04932025-03-26-0.20-1.783.000.135.334.74-4.02-0.969.371.2612.99
债券型710301富安达增强收益债券A1.40162025-03-250.000.190.060.186.104.745.987.968.650.2342.90
股票型006724工银深证红利ETF联接C1.04932025-03-26-0.20-1.783.000.135.334.74-4.02-0.969.371.2612.99
混合型016257华宝动力组合混合C2.73412025-03-25-1.97-5.93-7.103.7834.064.73-14.29-9.27-9.276.04-9.27
混合型009314广发双擎升级混合C1.87202025-03-250.47-2.98-1.43-3.5121.274.73-24.32-37.05-30.11-0.48-30.11
QDII型008095中银亚太精选债券(QDII)人民币A1.04632025-03-24-0.190.100.391.542.524.735.479.974.631.404.63
混合型003182华富弘鑫混合A1.29622025-03-250.10-0.400.521.142.684.736.845.1721.501.0540.69
混合型012028光大安阳一年持有期混合C1.04752025-03-25-0.10-1.30-0.711.416.014.733.455.834.751.824.75
混合型018791华泰柏瑞均衡成长混合C0.94332025-03-25-3.42-7.85-6.526.1215.714.73-5.67-5.67-5.678.34-5.67
债券型007667华夏鼎泓债券C1.29882025-03-250.050.080.250.713.334.738.118.3424.700.5729.88
债券型008232中银恒优12个月持有期债券A1.12602025-03-250.06-0.12-0.350.612.514.739.3013.5115.800.4115.80
债券型015164鑫元晟利一年定开债券发起式1.10262025-03-250.060.37-0.36-0.391.634.739.3110.2610.26-0.8910.26
债券型011628嘉实致明3个月定期纯债债券1.07472025-03-250.060.29-0.28-0.451.214.739.1011.2212.93-0.8712.93
债券型531008建信稳定增利债券A1.77402025-03-250.11-0.39-0.281.375.254.724.368.9516.411.0868.13
债券型450019国富恒久信用债券C1.23082025-03-250.14-0.62-0.300.654.054.726.338.8412.450.3361.69
债券型004602前海开源润和债券A1.22732025-03-250.060.26-0.30-0.431.334.728.9811.4516.82-0.8236.19
债券型217024招商安盈债券A1.10232025-03-250.120.120.84-0.242.764.7210.0514.9729.59-0.16112.55
QDII型007362易方达中短期美元债(QDII)A美元现0.16412025-03-24-0.240.180.551.740.314.727.686.0812.321.3013.25
债券型019940长信120天滚动持有债券C1.05622025-03-250.010.190.381.703.534.725.625.625.621.155.62
混合型001285易方达新鑫混合I1.50202025-03-250.070.220.43-0.142.364.728.6611.0931.18-0.4077.57
混合型017081鹏华悦享一年持有期混合A1.03192025-03-25-0.01-0.150.370.042.004.723.193.193.190.113.19
混合型019692信澳鑫悦智选6个月持有期混合A1.05812025-03-250.09-0.04-0.10-0.223.544.715.815.815.81-0.365.81
混合型010171中银证券鑫瑞6个月持有C1.04762025-03-250.00-0.080.06-0.044.114.712.824.174.76-0.034.76
混合型019008东方红远见领航混合发起A0.99892025-03-25-0.89-2.721.453.0620.654.71-0.11-0.11-0.113.14-0.11
混合型011106长信稳健均衡6个月持有期混合C0.95842025-03-250.07-0.130.07-0.150.654.71-3.27-2.28-4.16-0.22-4.16
混合型014353东方创新成长混合C0.84542025-03-25-1.85-5.14-4.65-2.2230.404.71-17.41-15.46-15.460.48-15.46
债券型213907宝盈增强收益债券A/B1.41532025-03-250.090.150.78-0.451.644.7111.2610.8227.85-0.69156.45
债券型213007宝盈增强收益债券A/B1.41532025-03-250.090.150.78-0.451.644.7111.2610.8227.85-0.69156.45
债券型018192建信鑫弘180天持有期债券A1.07962025-03-250.010.180.180.591.954.717.967.967.960.117.96
债券型013204恒生前海恒源天利债券A1.06472025-03-25-0.09-0.790.350.174.864.715.1012.196.470.426.47
债券型012273富国汇鑫金融债三个月定开债A1.04792025-03-250.030.16-0.07-0.011.774.719.0511.6714.31-0.2914.31
债券型022260鹏华丰利债券(LOF)E1.04712025-03-250.20-0.44-0.151.474.714.714.714.714.711.364.71
债券型017834信澳汇鑫两年封闭式债券1.03482025-03-250.060.370.250.701.724.716.586.586.580.516.58
债券型012063天弘中债1-5年政策性金融债指数发1.05532025-03-250.020.120.02-0.391.644.708.2411.0214.59-0.5714.59
债券型012331广发集优9个月持有期债券C1.05172025-03-250.05-0.58-0.551.395.384.70-0.372.805.171.575.17
债券型020216博时富泽金融债C1.02022025-03-250.010.550.350.621.724.706.436.436.430.126.43
混合型001748易方达瑞祺灵活配置混合E1.60502025-03-250.250.311.13-2.072.694.704.637.4337.35-2.3167.02
混合型009351南方誉丰18个月混合A1.12782025-03-21-0.040.11-0.120.044.444.702.732.3212.78-0.3912.78
混合型020358东方红慧鑫甄选6个月持有混合A1.04702025-03-25-0.03-0.110.160.734.054.704.704.704.700.544.70
混合型008990东方红匠心甄选一年持有混合1.03052025-03-250.00-0.200.170.534.454.706.149.0119.570.5618.84
混合型012055鹏华安康一年持有期混合C1.01602025-03-25-0.01-0.090.33-0.081.974.702.323.191.60-0.071.60
股票型015042国泰国证房地产行业指数C0.66632025-03-260.68-1.62-2.16-3.984.304.70-19.80-28.97-28.81-2.09-28.81
指数型015042国泰国证房地产行业指数C0.66632025-03-260.68-1.62-2.16-3.984.304.70-19.80-28.97-28.81-2.09-28.81
QDII型006447华夏海外聚享混合发起式(QDII-FOF0.22742025-03-240.040.260.181.29-0.794.7016.749.43110.361.4352.52
QDII型006446华夏海外聚享混合发起式(QDII-FOF0.22742025-03-240.040.260.181.29-0.794.7016.749.43110.361.4352.52
债券型011864博时恒泰债券A1.11692025-03-25-0.02-0.140.310.993.744.706.9510.3311.691.1911.69
债券型016416南方稳鑫6个月持有债券A1.11052025-03-250.02-0.02-0.340.732.814.709.1811.0511.050.6211.05
债券型970189申万宏源双季增享6个月债券B1.09492025-03-250.03-0.080.210.413.374.707.849.179.170.369.17


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