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019287鹏华丰诚债券D1.06852025-03-250.15-0.080.160.673.604.706.856.856.850.606.85
债券型395011中海增强收益债券A1.18202025-03-250.170.000.340.606.394.694.977.5920.070.6072.94
债券型002962中欧双利债券C1.13732025-03-250.14-0.040.260.293.604.696.436.7416.620.1335.45
债券型018265国联安恒润3个月定开债券1.03202025-03-210.00-0.030.240.342.154.696.126.126.120.176.12
债券型021019广发汇兴3个月定期开放债券C1.02872025-03-250.030.100.03-0.151.704.694.874.874.87-0.344.87
债券型009567山证资管裕丰一年定开放债券发起1.01872025-03-210.000.14-0.06-0.011.604.698.4511.2619.46-0.2619.46
债券型007739淳厚稳惠债券C1.01532025-03-250.010.030.150.491.804.698.4310.9616.390.2518.51
混合型001443易方达瑞选灵活配置混合I1.70752025-03-250.280.541.97-2.092.994.698.5510.2338.29-2.43108.98
混合型003169长盛盛辉混合A1.64822025-03-250.350.091.40-0.753.634.696.213.3742.85-0.9364.82
混合型000932前海开源睿远稳健增利混合A1.43982025-03-250.02-0.210.96-0.201.204.693.756.8920.18-0.0176.16
混合型002604华夏新起点混合A1.13802025-03-250.00-0.090.000.184.024.69-21.68-40.45-10.110.0013.80
混合型012077易方达悦夏一年持有混合A1.08902025-03-250.080.210.501.274.234.697.498.838.901.128.90
混合型018945博时远见成长混合C1.03482025-03-25-0.34-2.59-0.172.135.284.693.483.483.483.293.48
混合型013030嘉实鑫泰一年持有混合C1.02732025-03-250.070.11-1.26-0.133.084.692.973.952.73-0.542.73
混合型012484前海开源优质龙头6个月持有混合C0.69132025-03-25-0.76-3.48-0.16-0.6910.864.69-15.20-16.87-30.870.68-30.87
QDII型019709富国亚洲收益债券(QDII)人民币C1.06132025-03-24-0.080.140.471.133.804.695.295.295.290.975.29
债券型019595嘉实稳宁纯债债券C1.04702025-03-250.020.060.240.612.044.684.704.704.700.544.70
债券型014974景顺长城景泰悦利三个月定开债C1.03942025-03-250.070.29-0.25-0.571.304.689.1411.7111.75-0.7111.75
混合型270041广发消费品精选混合A2.97302025-03-250.41-1.004.650.8516.734.68-17.80-17.99-3.161.99197.30
债券型002138泓德裕泰债券A1.45752025-03-250.060.070.140.912.604.6810.8716.5219.860.7058.48
债券型485107工银添利债券A1.33282025-03-250.12-0.07-0.050.733.684.686.7211.9919.080.58151.76
债券型008644天弘季季兴三个月定开债券发起A1.11472025-03-250.100.000.03-0.081.304.6811.2215.2221.90-0.2825.03
债券型013953工银瑞和3个月定开债券C1.08632025-03-250.030.17-0.26-0.731.994.688.3410.0710.61-1.1510.61
债券型016142华安沣悦债券A1.06022025-03-250.010.060.190.584.354.686.446.026.020.326.02
混合型008209南方宝泰一年混合A1.17092025-03-25-0.02-0.080.640.204.064.683.074.6318.120.0817.09
混合型019000万家趋势领先混合C1.12692025-03-250.51-0.0310.4313.716.674.6812.6912.6912.6914.1012.69
混合型014314鹏华创新增长一年持有期混合C1.00022025-03-25-0.80-3.60-0.2312.8121.304.68-1.610.020.0213.180.02
混合型530001建信恒久价值混合0.90112025-03-25-0.07-1.08-0.16-0.448.714.68-14.38-27.5345.95-0.11588.58
混合型011302易方达悦盈一年持有混合A1.08262025-03-250.100.240.441.184.124.677.948.668.261.078.26
混合型005050长安鑫旺价值混合C2.08982025-03-25-0.19-0.424.382.8218.624.67-10.83-21.5230.242.95108.96
债券型016017长盛恒盛利率债C1.08852025-03-25-0.010.21-0.73-0.560.634.677.468.858.85-1.488.85
债券型003260博时利发纯债债券A1.08072025-03-250.060.330.110.352.074.6714.4817.1920.96-0.1437.82
债券型010620华安添利6个月债券C1.07052025-03-25-0.09-0.590.40-0.083.594.676.987.437.050.217.05
债券型660009农银增强收益债券A1.85592025-03-25-0.02-0.71-0.280.716.044.662.453.7313.641.0397.11
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
债券型008799国金惠安利率债C1.16742025-03-250.140.61-1.27-1.850.224.6611.8514.7518.68-2.4319.13
债券型003661中加纯债两年债券C1.14032024-12-310.000.002.342.922.944.669.8613.7219.314.6640.27
债券型007969西部利得得尊纯债C1.10112025-03-250.11-0.04-0.130.642.894.667.9410.7219.390.4223.63
债券型006044永赢惠益债券C1.09472025-03-250.040.21-0.27-1.010.984.669.4612.2816.95-1.2128.24
债券型015978安信恒鑫增强债券A1.06092025-03-250.06-0.210.870.122.654.666.256.096.090.116.09
混合型012479汇安信泰稳健一年持有期混合A0.89692025-03-250.010.150.200.463.334.66-1.26-6.32-10.310.18-10.31
股票型004404平安股息精选沪港深C1.27072025-03-26-0.26-0.792.080.944.634.665.681.3229.240.0327.07
债券型007485博时中债3-5年国开行A1.04782025-03-250.010.150.02-0.451.604.669.3212.5818.34-0.6323.56
债券型009764惠升和悦债券C1.04462025-03-250.150.100.560.672.554.666.082.3653.180.4053.18
债券型009765惠升和煦88个月定开债1.03552025-03-210.000.090.341.062.234.669.3714.5021.840.9321.84
混合型051014博时创业成长混合A1.93002025-03-25-0.72-2.72-2.57-1.638.184.66-8.05-18.43-12.87-0.87105.89
混合型050014博时创业成长混合A1.93002025-03-25-0.72-2.72-2.57-1.638.184.66-8.05-18.43-12.87-0.87105.89
混合型001807易方达瑞智灵活配置混合E1.37102025-03-250.070.220.29-0.361.184.669.4211.8330.08-0.5842.70
债券型016433财通资管睿兴债券C1.04992025-03-250.110.54-0.53-0.871.214.657.057.057.05-1.187.05
债券型019602鹏华精新添利债券A1.04652025-03-25-0.17-0.85-0.541.784.274.654.654.654.651.734.65
债券型000116嘉实丰益纯债定期债券A1.01222025-03-250.100.560.050.020.964.6512.6116.1819.05-0.2570.04
混合型004901财通资管鑫锐混合C1.53782025-03-250.181.282.131.326.604.65-2.981.7024.791.7153.78
混合型005379汇添富价值创造定开混合1.36742025-03-25-1.01-3.402.506.6112.284.65-20.07-19.947.697.1336.74
混合型012946南方宝裕混合C1.08372025-03-250.080.020.640.083.504.656.218.518.37-0.028.37
混合型018550金鹰研究驱动混合C1.06192025-03-25-0.23-3.67-7.55-1.7915.144.656.196.196.19-1.926.19
混合型009474国泰致远优势混合0.97192025-03-25-0.79-1.842.526.5416.874.65-10.64-23.65-2.816.10-2.81
混合型010536泰康优势企业混合A0.66672025-03-25-0.57-3.194.471.118.584.65-14.09-8.60-33.331.23-33.33
债券型000236工银月月薪定期支付债券A1.75602025-03-250.00-0.060.520.001.924.652.872.157.470.1175.60
债券型002971前海开源鼎安债券A1.30502025-03-250.000.230.310.001.404.650.46-0.4616.94-0.3130.50
债券型006467浦银安盛双债增强债券C1.21372025-03-250.09-0.38-0.281.024.344.654.215.8215.010.9921.37
债券型010856民生加银恒泽债券1.14442025-03-250.100.37-0.23-0.341.014.6410.4813.1618.10-0.7818.10
债券型017593汇添富添添乐双盈债券C1.12032025-03-25-0.010.090.480.661.674.6412.9812.0312.030.2012.03
债券型018669兴华安惠纯债A1.08812025-03-250.160.83-0.78-0.540.874.649.149.149.14-1.389.14
混合型023096中邮消费升级灵活配置混合C1.15002025-03-25-0.69-3.93-3.364.644.644.644.644.644.644.644.64
混合型010211景顺长城顺鑫回报混合A1.12212025-03-250.040.150.080.114.054.646.088.9917.490.0417.49
混合型010831国泰通利9个月持有期混合C1.10612025-03-25-0.05-0.330.311.836.434.642.824.2010.612.0410.61
混合型013831中欧瑾尚混合C0.92772025-03-250.25-0.031.321.173.504.64-4.06-2.62-7.231.03-7.23
债券型019603鹏华精新添利债券C1.04642025-03-25-0.17-0.85-0.551.784.304.644.644.644.641.724.64
债券型019563华润元大泓远利率债A1.02512025-03-250.070.35-0.42-0.421.234.646.706.706.70-0.816.70
混合型016313富国研究精选灵活配置混合C2.59602025-03-25-0.46-2.663.510.0013.264.6410.1415.6315.631.0515.63
债券型018831汇添富稳健回报债券C1.04632025-03-250.05-0.090.01-0.313.354.634.634.634.63-0.394.63
债券型006416方正富邦丰利债券A1.04582025-03-250.160.360.110.172.334.638.928.198.42-0.1418.97
债券型014386华富安业一年持有债券C1.02902025-03-25-0.04-0.310.040.773.034.633.642.902.900.732.90
债券型016023兴业添益6个月定开债券1.00292025-03-250.030.21-0.03-0.221.444.638.679.509.50-0.629.50
混合型013686华安安信消费混合C4.45402025-03-25-0.09-1.440.47-0.807.404.630.66-1.59-9.43-0.74-9.43
混合型017692华泰紫金恒荣12个月持有期混合发1.05742025-03-250.07-0.150.700.993.484.635.745.745.740.525.74
混合型018708交银悦信精选混合A0.98462025-03-25-1.58-3.681.874.1514.104.63-1.54-1.54-1.544.53-1.54
混合型012690广发消费领先混合A0.72832025-03-25-2.32-3.983.817.1819.374.63-20.42-10.46-27.176.59-27.17
债券型006470工银目标收益一年定开A1.46902025-03-250.070.270.27-0.201.594.6310.3715.0420.81-0.2732.46
债券型021054永赢众利债券C1.17182025-03-250.060.32-0.37-0.681.354.634.634.634.63-1.054.63
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
债券型009227平安增鑫六个月定开债A1.11322025-03-250.040.120.190.191.714.6311.0312.9218.44-0.2718.44
债券型002652东方红汇利债券C1.10332025-03-250.02-0.400.130.835.364.635.397.7619.270.8543.57
债券型008539工银开元利率债债券A1.09212025-03-250.070.23-0.10-0.283.034.638.1710.2016.78-0.8516.90
债券型018193建信鑫弘180天持有期债券C1.07802025-03-250.020.190.170.571.924.637.807.807.800.097.80
QDII型019518富国全球债券(QDII)人民币C1.27422025-03-24-0.350.100.742.111.484.637.687.687.681.907.68
股票型021630华安红利机遇股票发起式C1.04632025-03-26-0.28-0.352.321.693.744.634.634.634.630.764.63
债券型006934平安3-5年政策性金融债A1.11222025-03-250.010.140.19-0.371.504.628.2610.6321.60-0.3827.56
债券型014397中银恒悦180天持有债券A1.10612025-03-250.01-0.05-0.010.161.644.628.2911.2710.610.0110.61
混合型860001光大阳光混合A1.99802025-03-25-0.30-2.333.475.9514.684.62-39.95-38.89-36.395.80-36.39
混合型012715长盛成长价值混合C1.68222025-03-25-0.08-1.24-2.90-1.565.944.622.9110.836.53-1.016.53
混合型018454大成互联网思维混合C1.57692025-03-25-1.17-5.17-9.10-9.1115.154.62-1.44-1.44-1.44-7.84-1.44
债券型020791天弘中债1-5年政策性金融债指数发1.05562025-03-250.020.120.01-0.401.584.615.105.105.10-0.585.10
债券型017138长盛盛逸9个月持有期债券C1.05362025-03-250.120.12-0.050.242.794.618.538.538.53-0.048.53
债券型015615天弘丰益债券发起A1.05172025-03-250.030.260.200.401.734.619.8811.3011.300.0011.30
债券型015266中邮睿泽一年持有债券A1.04292025-03-25-0.35-1.25-2.62-0.722.724.613.444.294.29-0.484.29
债券型010582中信建投中债3-5年政金债C1.03922025-03-250.060.27-0.21-0.880.944.6110.8713.5315.70-1.2115.70
混合型860036光大阳光混合B1.99852025-03-25-0.30-2.333.475.9514.674.61-39.96-38.89-36.385.80-36.38
债券型630109华商稳定增利债券C1.79202025-03-250.17-0.720.731.768.614.617.315.0428.642.28125.00
债券型004603前海开源润和债券C1.22492025-03-250.060.26-0.31-0.461.284.618.7811.1416.28-0.8534.20
债券型002592中欧纯债债券(LOF)E1.11032025-03-250.100.350.05-0.111.974.619.6412.2317.41-0.3231.02
债券型009238兴业绿色纯债一年定开债券C1.08752025-03-210.000.18-0.080.101.794.617.7210.3115.85-0.0715.85
混合型018726广发匠心优选三年持有混合发起式A1.04612025-03-25-1.40-5.54-3.223.904.204.614.614.614.614.134.61
混合型013930中银证券恒瑞9个月持有混合C0.97192025-03-25-0.22-0.88-0.330.866.274.612.291.92-2.810.93-2.81
混合型010544中加科鑫混合C0.94702025-03-25-0.04-0.640.290.484.574.612.12-1.33-5.300.73-5.30
QDII型000906广发全球精选股票(QDII)美元A0.53142025-03-241.881.26-3.82-5.783.164.6167.2637.81143.43-2.78181.01
债券型004427交银增利增强债券A1.23362025-03-250.15-0.270.201.114.854.603.897.4435.071.1066.40
债券型080003长盛积极配置债券1.20212025-03-25-0.05-1.13-1.510.845.164.601.67-1.183.480.6493.58
债券型650001英大纯债债券A1.18232025-03-250.10-0.250.111.484.124.609.4912.7017.391.3974.39
债券型019803博远增睿纯债债券C1.07992025-03-250.030.190.00-0.061.944.606.356.356.35-0.366.35
股票型021327富国中证细分机械设备产业主题ETF1.04602025-03-260.00-1.60-1.64-0.1111.994.604.604.604.600.804.60
指数型021327富国中证细分机械设备产业主题ETF1.04602025-03-260.00-1.60-1.64-0.1111.994.604.604.604.600.804.60
债券型003448招商招华纯债A1.04132025-03-250.070.400.110.282.504.609.2513.0320.99-0.1640.91
债券型006841嘉实致享纯债债券1.03872025-03-250.060.36-0.36-0.641.064.609.1111.7118.27-1.0723.28
债券型005862华夏鼎禄三个月定开债券A1.03432025-03-250.030.210.030.091.554.6010.7514.4122.89-0.3832.69
混合型013969华夏永利一年持有混合A1.07312025-03-25-0.18-0.520.321.303.914.607.5610.547.311.127.31
混合型010338国投瑞银远见成长混合A0.89912025-03-25-0.12-1.641.52-0.1610.474.60-2.08-2.48-10.090.36-10.09
混合型012770光大保德信创新生活混合A0.70772025-03-25-0.79-1.990.604.896.104.60-10.50-13.40-29.235.78-29.23
混合型012114融通稳健增长一年持有期混合C1.05932025-03-250.160.290.24-0.172.424.592.426.785.93-0.085.93
混合型013190国联景惠混合A1.04902025-03-250.100.140.14-0.072.844.596.158.174.90-0.244.90
混合型020918鹏扬聚优睿选混合A1.04592025-03-25-0.91-3.514.937.384.594.594.594.594.598.574.59
混合型013634申万菱信双利混合A0.94152025-03-25-0.15-0.96-1.240.055.284.59-1.920.92-5.850.34-5.85
股票型021097南方中证创新药产业ETF发起联接A1.04592025-03-26-0.20-2.99-1.521.5611.404.594.594.594.593.254.59
股票型022292前海开源优选领航股票A1.04592025-03-26-0.52-2.301.054.594.594.594.594.594.594.594.59
指数型021097南方中证创新药产业ETF发起联接A1.04592025-03-26-0.20-2.99-1.521.5611.404.594.594.594.593.254.59
债券型009228平安增鑫六个月定开债C1.12432025-03-250.060.090.150.091.714.599.709.8712.48-0.3812.48
债券型164808工银四季收益债券A1.10392025-03-250.100.060.090.473.104.597.4410.6819.710.22126.88
债券型009676国联融慧双欣一年定开债券C1.09052025-03-250.090.260.630.352.794.597.419.0713.290.0413.29
债券型019487广发添盈债券A1.04952025-03-250.030.120.280.712.064.594.954.954.950.614.95
债券型013205恒生前海恒源天利债券C1.04582025-03-25-0.10-0.790.350.144.794.594.7511.684.580.404.58
债券型020238博时锦源利率债债券A1.04432025-03-250.090.44-0.45-0.891.004.597.587.587.58-1.257.58
债券型010837格林泓景债券A1.00112025-03-250.00-0.01-0.041.519.124.591.12-1.02135.67-0.77135.67
混合型015572国投瑞银瑞源灵活配置混合C3.09532025-03-250.14-1.171.03-0.629.234.590.491.111.11-0.041.11
混合型021625博时外延增长混合C1.75302025-03-25-0.28-1.300.753.248.754.594.594.594.593.914.59
混合型000933前海开源睿远稳健增利混合C1.35912025-03-250.02-0.210.96-0.221.164.593.576.3518.18-0.0266.24
债券型000201诺安泰鑫一年定期开放债券A1.03532025-03-210.000.15-0.030.452.874.5810.0811.3618.670.0568.81
债券型006450嘉实致盈债券A1.03312025-03-250.020.17-0.21-0.561.044.588.7711.1316.96-1.0224.61
混合型013950交银先锋混合C1.83352025-03-25-2.38-4.81-4.320.3320.064.58-14.23-24.59-34.481.50-34.48
混合型519050海富通安颐收益混合A1.28992025-03-250.02-0.360.340.484.824.583.852.6515.460.4999.36
混合型006058民生加银新兴成长混合1.20082025-03-25-1.29-4.17-4.307.3720.424.58-25.57-41.77-24.607.7220.08
混合型011508易方达悦弘一年持有期混合A1.08232025-03-250.070.200.461.123.854.587.328.748.230.978.23
混合型970095兴证资管金麒麟均衡优选一年持有0.75352025-03-25-0.23-2.220.56-0.017.644.58-13.63-7.69-24.650.47-24.65
债券型005480诺安联创顺鑫C1.24112025-03-250.130.62-0.540.101.894.5810.3112.2618.37-0.5450.79
债券型013587英大纯债债券E1.18212025-03-250.10-0.250.111.474.104.589.4710.188.781.388.78
债券型008645天弘季季兴三个月定开债券发起C1.11682025-03-250.100.000.01-0.111.254.5810.9814.8421.24-0.3024.33
债券型161216国投瑞银双债债券(LOF)A1.29772025-03-250.00-0.41-0.391.042.914.577.439.8822.310.81141.82
债券型008874国寿安保尊诚纯债C1.15352025-03-250.040.15-0.100.181.614.578.8811.9515.69-0.1515.69
债券型006288永赢盛益债券C1.10272025-03-250.060.41-0.35-0.710.504.579.0912.0918.33-1.0226.82
混合型013356大摩沪港深精选混合A0.54862025-03-25-0.65-4.010.798.3514.154.57-29.17-42.31-45.149.70-45.14
混合型002664万家瑞和灵活配置混合A1.27172025-03-25-0.02-0.27-0.63-0.354.444.576.876.8010.46-0.3941.19


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