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009412易方达招易一年持有期混合A1.18032025-03-250.120.490.81-0.961.424.196.138.0718.03-1.1818.03
混合型013970华夏永利一年持有混合C1.05962025-03-25-0.17-0.530.281.213.714.196.709.215.961.045.96
混合型019009东方红远见领航混合发起C0.99222025-03-25-0.89-2.731.422.9420.374.19-0.78-0.78-0.783.02-0.78
债券型013971长江尊利债券C1.11792025-03-250.01-0.53-0.450.434.524.196.699.387.410.537.41
债券型017046达诚腾益债券C1.10172025-03-25-0.04-0.32-0.12-0.462.124.1910.1710.1710.17-0.5110.17
债券型015474工银瑞恒3个月定开债券C1.08672025-03-250.070.290.110.161.674.1910.0912.4312.43-0.2312.43
股票型013869创金合信物联网主题股票发起A0.74812024-11-301.711.644.3420.4112.584.198.890.00-25.194.40-25.19
股票型013869创金合信物联网主题股票发起A0.74812024-11-301.711.644.3420.4112.584.198.890.00-25.194.40-25.19
混合型013357大摩沪港深精选混合C0.54182025-03-25-0.64-4.000.788.2513.924.19-29.67-42.94-45.829.61-45.82
债券型005921农银汇理金鑫3个月定开债1.24222025-03-250.000.22-0.16-0.231.034.189.6113.3325.51-0.6634.24
债券型009780德邦锐泽86个月定开债1.11352025-03-210.000.080.310.972.024.188.2812.8219.720.8419.72
债券型008570中航瑞智纯债C1.10422025-03-250.110.340.090.251.994.189.7710.4210.420.0110.42
债券型970190申万宏源双季增享6个月债券C1.08122025-03-250.03-0.090.180.293.134.186.727.817.810.237.81
债券型009581国寿中债3-5年政金债指数A1.06942025-03-250.000.15-0.07-0.620.974.188.8111.7517.51-0.7817.51
债券型013070华夏彭博政金债1-5年A1.06652025-03-250.030.17-0.10-0.611.184.189.2412.3512.50-0.8112.50
债券型014242农银汇理悦利债券1.01852025-03-250.050.240.120.081.384.189.3312.5613.13-0.3513.13
债券型009933浦银安盛普华66个月定开债A1.00592025-03-210.000.070.290.952.004.188.3812.9019.610.8219.61
混合型160722嘉实惠泽混合(LOF)1.24472025-03-250.31-1.492.982.9612.414.18-6.47-8.586.514.4427.43
混合型014730华富荣盛一年持有期混合A1.06082025-03-250.19-0.18-0.140.853.474.186.586.586.580.816.58
股票型009240泰康蓝筹优势一年持有股票0.98892025-03-26-0.25-3.342.010.766.184.18-11.466.65-1.111.11-1.11
股票型000729建信中小盘先锋股票A3.16402025-03-26-0.28-1.95-0.47-1.7710.054.18-16.98-15.08112.350.03216.40
债券型013222博远臻享3个月定开债券A1.05232025-03-250.020.110.06-0.541.174.177.2710.4511.30-0.8211.30
债券型013223博远臻享3个月定开债券C1.05212025-03-250.020.120.07-0.541.174.177.279.3610.20-0.8210.20
债券型007723鹏华锦润86个月定开债1.04732025-03-210.000.080.300.962.004.178.3012.8119.890.8319.89
债券型007184蜂巢添鑫纯债A1.04182025-03-250.070.16-0.09-0.190.954.178.7411.5316.57-0.6923.22
债券型018677渤海汇金汇享益利率债C1.03272025-03-250.050.24-0.10-0.441.354.174.764.764.76-0.724.76
债券型014435中航瑞夏一年定开债发起A1.02702025-03-240.970.960.720.221.874.177.6410.2610.730.1210.73
债券型007323永赢久利债券1.02132025-03-250.070.38-0.28-0.610.584.177.9210.7314.41-0.8916.89
QDII型006105宏利印度股票(QDII)1.46772025-03-241.055.744.67-4.28-9.124.1739.2030.08103.13-3.9749.71
债券型012818招商享诚增强债券A1.10792025-03-250.110.070.74-0.311.794.177.0811.4010.79-0.6610.79
债券型004548中银中高等级债券C1.10492025-03-250.070.40-0.14-0.261.004.179.4611.9417.81-0.6941.52
债券型016901工银四季收益债券C1.10212025-03-250.100.050.060.382.894.176.586.596.590.136.59
债券型020625蜂巢丰吉纯债E1.08552025-03-250.030.180.310.391.984.175.175.175.170.085.17
混合型001164中欧琪和灵活配置混合A1.31842025-03-250.050.100.240.332.144.174.946.7520.370.1460.44
混合型018448中欧琪和灵活配置混合E1.31802025-03-250.050.090.240.332.134.174.494.494.490.144.49
混合型000030长城核心优选混合A1.04542025-03-25-0.18-1.37-0.07-1.0411.474.17-9.82-20.50-10.92-0.9093.53
混合型013191国联景惠混合C1.03512025-03-250.090.140.11-0.172.644.175.316.883.51-0.343.51
混合型010835国泰同益18个月持有期混合C1.00972025-03-250.040.160.120.231.374.172.061.140.970.130.97
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
混合型014537中银中国混合(LOF)C0.92682025-03-25-0.33-2.41-0.33-0.4914.214.17-27.35-28.28-45.790.19-45.79
混合型015605华安动力领航混合C0.87712025-03-25-3.26-7.13-5.532.707.774.17-7.63-12.29-12.292.25-12.29
混合型012036诺德兴远优选一年持有混合0.76272025-03-25-0.50-2.34-0.25-1.6814.254.17-13.04-12.34-23.73-0.97-23.73
混合型012481泓德医疗创新混合发起式A0.71492025-03-25-0.65-2.840.006.1015.104.17-23.82-28.51-28.517.21-28.51
混合型019252光大保德信创新生活混合C0.70232025-03-25-0.79-2.010.574.795.884.17-7.47-7.47-7.475.69-7.47
混合型110009易方达价值精选混合1.11782025-03-25-0.72-3.040.405.1320.664.16-1.0510.9782.465.29728.57
混合型004457光大多策略智选18个月混合1.11422025-03-210.000.060.671.174.514.162.06-0.575.451.4535.80
混合型011509易方达悦弘一年持有期混合C1.06462025-03-250.080.200.431.023.644.166.457.446.460.876.46
股票型020323博时中证基建工程指数发起式A1.04152025-03-26-0.33-0.66-0.89-4.097.374.164.154.154.15-3.044.15
债券型016932国泰丰祺纯债债券C1.05532025-03-250.030.170.000.041.554.168.868.798.79-0.218.79
债券型020914东兴鑫颐3个月滚动持有纯债C1.04162025-03-250.160.83-0.360.641.974.164.164.164.16-0.154.16
债券型020727兴业稳瑞90天持有期债券A1.04162025-03-250.020.110.170.612.314.164.164.164.160.454.16
债券型012858天弘睿选利率债发起式A1.03952025-03-250.130.64-0.72-0.891.374.169.9612.5914.72-1.5514.72
债券型020060鹏扬淳旭债券A1.03812025-03-250.030.11-0.29-0.461.144.166.806.806.80-0.796.80
债券型009303恒生前海恒颐五年定开债A1.01052025-03-210.000.080.311.002.034.168.0712.4518.090.8718.09
债券型020570建信宁远90天持有期债券C1.00372025-03-250.010.150.100.521.814.164.274.274.270.034.27
混合型021902广发主题领先混合C1.88142025-03-250.20-0.483.862.566.394.164.164.164.162.914.16
指数型020323博时中证基建工程指数发起式A1.04152025-03-26-0.33-0.66-0.89-4.097.374.164.154.154.15-3.044.15
债券型162712广发聚利债券(LOF)A1.40652025-03-250.140.44-0.38-0.620.654.1611.2913.9015.75-0.92135.66
债券型003324东方永兴18个月定开债A1.33232025-03-250.060.310.240.091.024.1611.0420.2227.12-0.0656.47
债券型007537景顺长城景泰盈利纯债1.19572025-03-250.110.460.05-0.071.154.169.3813.5722.83-0.3327.88
债券型018098博时富发纯债债券C1.10922025-03-250.110.60-0.11-0.081.484.1610.4610.6010.60-0.5710.60
指数型020274富国中证细分化工产业主题ETF发起1.03562025-03-26-0.26-0.871.122.2810.224.153.563.563.563.723.56
指数型022863鹏华国证半导体芯片ETF联接I1.04152025-03-26-0.35-4.48-10.56-2.854.154.154.154.154.151.394.15
债券型000728工银目标收益一年定开C1.43102025-03-250.000.210.21-0.211.424.159.3213.8418.36-0.3549.25
债券型002395鹏华丰尚定开债A1.23102025-03-250.030.110.240.042.904.157.936.0513.74-0.1033.65
债券型007392申万菱信安泰丰利债券C1.21752025-03-250.11-0.34-0.360.043.024.156.609.6317.96-0.3321.74
债券型004428交银增利增强债券C1.21692025-03-250.14-0.280.171.004.624.153.036.1232.361.0061.48
债券型006088永赢润益债券A1.12142025-03-250.100.42-0.12-0.450.914.157.4110.5117.33-0.7427.12
债券型007145泰康安和纯债6个月定开债券1.09832025-03-250.050.300.160.171.054.159.9513.5321.27-0.0427.26
债券型011942建信泓利一年持有期债券1.09762025-03-250.230.261.020.343.464.155.148.069.760.239.76
债券型004601博时富腾纯债债券A1.08722025-03-250.060.330.370.381.684.158.9212.3620.950.1439.87
债券型015624国投瑞银顺晖一年定开债发起1.06052025-03-250.050.31-0.08-0.251.074.159.009.639.63-0.649.63
债券型007185蜂巢添鑫纯债C1.05672025-03-250.070.15-0.09-0.200.934.158.8011.5816.58-0.7023.21
股票型020274富国中证细分化工产业主题ETF发起1.03562025-03-26-0.26-0.871.122.2810.224.153.563.563.563.723.56
股票型022863鹏华国证半导体芯片ETF联接I1.04152025-03-26-0.35-4.48-10.56-2.854.154.154.154.154.151.394.15
股票型001040新华策略精选股票1.19232025-03-26-1.00-7.13-17.36-13.1236.344.15-25.59-16.0012.49-6.8849.05
混合型233001大摩基础行业混合0.57782025-03-250.33-3.20-4.431.0714.194.15-30.85-46.50-36.502.77106.23
混合型012691广发消费领先混合C0.71772025-03-25-2.33-3.993.777.0919.084.15-21.10-11.56-28.236.48-28.23
债券型019585博远增裕利率债A1.05122025-03-250.030.15-0.06-0.501.284.156.146.146.14-0.756.14
债券型008877国联安增盛一年定开债1.04452025-03-250.050.27-0.12-0.281.314.159.2611.2616.76-0.5316.76
债券型009533太平恒泽63个月定开1.04392025-03-210.000.080.300.982.004.158.0812.4818.940.8518.94
债券型001964诺安泰鑫一年定期开放债券C1.03222025-03-210.000.15-0.050.352.684.159.2010.0816.34-0.0337.58
债券型016439鑫元惠丰纯债债券C1.02682025-03-250.000.030.830.471.694.158.168.748.740.358.74
混合型001422景顺长城安享回报混合A1.43302025-03-250.00-0.07-0.070.492.804.155.648.6227.880.4967.76
混合型001834长盛战略新兴产业混合C1.35502025-03-25-0.15-1.090.000.447.114.15-1.090.3022.180.8935.50
混合型000072华安稳健回报混合A1.32882025-03-250.02-0.30-0.43-0.202.994.153.974.1618.21-0.09133.50
债券型002988平安鼎信债券A1.04692025-03-25-0.03-0.15-0.161.033.634.1413.7612.3816.351.0540.24
债券型008486德邦德瑞一年定开债1.03982025-03-250.050.24-0.03-0.101.224.148.6511.6618.90-0.4620.68
债券型012101中金金合债券1.02442025-03-250.060.25-0.43-0.541.284.147.8610.8912.29-0.9812.29
混合型005015泰康景泰回报混合C1.66372025-03-250.16-0.250.810.233.304.146.9414.8749.210.2066.37
混合型002025广发聚盛混合A1.58292025-03-250.00-0.73-0.75-0.575.464.146.0211.3729.67-0.8874.73
债券型002490金鹰元祺债券A1.56142025-03-250.05-0.96-1.201.354.124.145.2210.0328.671.0762.11
债券型003459嘉实稳宏债券C1.40202025-03-25-0.17-3.12-3.872.8711.374.14-6.69-6.5021.093.6540.20
债券型009089嘉实稳固收益债券A1.16702025-03-25-0.09-0.26-0.680.393.314.144.796.8022.470.4722.47
债券型006738工银瑞信添慧债券A1.11352025-03-250.19-0.060.58-0.213.204.14-4.94-7.285.93-0.2911.35
债券型000419大摩优质信价纯债A1.10282025-03-250.050.270.180.021.314.148.956.4612.13-0.2450.36
债券型005363中银证券安源债券C1.10252025-03-250.050.260.280.371.104.146.488.4011.550.3017.41
债券型014013蜂巢丰吉纯债C1.09012025-03-250.030.170.310.391.954.1410.2012.9313.350.0813.35
债券型016457蜂巢中债1-5年政策性金融债C1.07932025-03-250.010.12-0.11-0.671.244.148.439.009.00-0.849.00
债券型007008中邮纯债优选一年定开债A1.07632025-03-210.000.05-0.110.102.124.1410.8213.7423.110.0527.15
债券型016116国联安恒盛3个月定开债券1.07212025-03-210.000.00-0.33-0.421.574.147.217.217.21-0.527.21
债券型009578上银聚德益一年定开债券1.06592025-03-250.090.41-0.30-0.411.204.149.1412.1817.51-0.8417.51
股票型000867华宝品质生活股票1.51102025-03-26-0.07-2.833.855.1510.134.14-21.47-14.2925.605.5256.28
混合型009691国泰浩益混合A1.12682025-03-250.160.150.31-0.282.284.141.370.1012.68-0.1512.68
混合型012822易方达悦丰一年持有期混合C1.06422025-03-250.080.240.421.213.924.145.346.196.421.066.42
混合型014694万家兴恒回报一年持有期混合C1.00922025-03-250.01-0.15-0.070.633.924.142.860.920.920.610.92
混合型004050华夏新锦升混合A0.90742025-03-25-0.29-0.360.303.2324.284.14-17.26-5.419.694.1629.10
混合型019205鹏华优质企业混合C0.88742025-03-250.82-2.153.542.9618.414.14-11.26-11.26-11.263.85-11.26
混合型010625富国稳健增长混合C0.67592025-03-25-0.63-2.59-0.764.9223.974.14-17.76-15.97-32.416.29-32.41
混合型000017财通可持续混合1.16102025-03-25-2.60-6.90-11.17-9.0815.754.13-10.69-18.875.11-8.58210.50
混合型014852嘉实添惠一年持有期混合A1.10502025-03-250.060.24-0.850.963.194.136.4911.1410.500.5610.50
混合型012820汇添富价值领先混合0.72892025-03-25-1.34-4.270.876.6311.214.13-11.87-7.13-27.117.19-27.11
债券型531009建信收益增强债券C1.43702025-03-250.00-0.14-0.210.003.984.133.495.5014.43-0.0799.14
债券型003669东方红益鑫纯债债券C1.09632025-03-250.040.170.200.251.954.137.239.6214.28-0.0131.06
混合型010537泰康优势企业混合C0.65272025-03-25-0.56-3.204.420.998.314.13-14.94-9.95-34.731.12-34.73
债券型018450富安达富祥利率债A1.05312025-03-250.020.21-0.19-0.391.234.136.336.336.33-0.766.33
债券型008015嘉实中债3-5年国开债指数A1.05002025-03-250.020.120.01-0.571.214.137.7610.5017.14-0.7519.77
债券型008206国泰聚瑞纯债债券A1.04502025-03-250.050.280.140.301.634.139.1913.3620.910.0720.91
债券型021282上银慧元利90天持有期债券A1.04132025-03-250.030.160.390.721.924.134.134.134.130.624.13
债券型016884山证资管裕鑫180天持有期债券发起1.03892025-03-25-0.31-0.79-0.35-0.432.854.133.843.893.89-0.413.89
债券型020413中信保诚稳泰债券D1.01852025-03-250.040.22-0.01-0.131.504.135.695.695.69-0.405.69
债券型006095永赢泰益债券C1.01792025-03-250.060.210.160.161.114.138.2211.3716.96-0.1826.85
债券型013497易方达裕华利率债3个月定开债1.01012025-03-250.010.150.05-0.191.624.138.2810.9011.78-0.3611.78
债券型008316蜂巢添跃66个月定开债1.00392025-03-250.010.080.310.941.994.138.3212.9218.270.8818.27
债券型020963中信保诚景华D1.05292025-03-250.190.83-0.51-0.430.194.124.144.144.14-1.084.14
债券型019580易方达安汇120天持有债券C1.05232025-03-250.010.060.130.371.774.125.235.235.230.215.23
债券型019996中银安享债券B1.04772025-03-250.090.41-0.10-0.160.784.126.656.656.65-0.606.65
债券型016539国泰丰盈纯债债券C1.04052025-03-250.290.80-0.55-0.301.704.1211.3411.6311.63-0.7411.63
债券型009148平安合聚定开债1.03502025-03-250.010.050.130.241.824.128.4411.9716.520.2116.52
债券型004108中信保诚稳泰债券A1.01852025-03-250.030.22-0.01-0.141.494.128.0212.2318.56-0.4135.24
混合型161222国投瑞银瑞利混合(LOF)A2.36152025-03-250.09-1.101.05-0.459.634.12-1.97-1.9366.420.14143.64
混合型010089工银优质成长混合C0.64512025-03-25-0.06-1.010.62-0.1215.594.12-15.50-24.77-35.490.69-35.49
混合型003147大成动态量化配置策略混合A1.06412025-03-25-0.12-3.322.9713.4930.364.12-16.15-29.05-13.0913.306.41
混合型017912华夏稳进增益一年持有混合A1.05212025-03-25-0.07-0.520.15-0.162.464.125.215.215.21-0.275.21
混合型021364渤海汇金新动能主题混合C0.92482025-03-250.04-4.70-0.959.034.124.124.124.124.1210.374.12
债券型009895摩根瑞盛87个月定期开放债券1.11142025-03-250.020.080.310.962.014.128.3012.8619.940.9019.94
债券型686869浙商聚盈纯债债券C1.09882025-03-250.080.390.050.021.424.129.0211.6316.22-0.3259.51
债券型020880天弘齐享债券发起D1.07192025-03-250.060.37-0.24-0.291.574.124.294.294.29-0.754.29
债券型018601长城集利债券发起式A1.06452025-03-25-0.04-0.110.180.183.404.126.456.456.450.166.45
指数型022665鹏华中证A500ETF联接A1.04112025-03-26-0.29-2.37-1.614.114.114.114.114.114.114.134.11
债券型022744广发可转债债券D1.59692025-03-25-0.18-3.96-3.093.734.114.114.114.114.114.054.11
债券型004388鹏华丰享债券1.26262025-03-250.070.270.060.181.484.119.6113.0622.53-0.1046.22
债券型003498前海联合添和纯债A1.17002025-03-250.030.11-0.010.392.854.118.1710.2716.010.0149.18
债券型166401浦银安盛稳健增利债券C1.10572025-03-250.050.08-0.130.552.574.116.629.4015.32-0.0182.90
债券型007647平安季享裕定开债E1.08612025-03-250.00-0.16-0.140.903.724.117.2510.7118.840.7223.60
债券型470078汇添富增强收益债券C1.08252025-03-250.16-0.16-0.140.372.294.119.5810.7811.540.1179.18
混合型014160易方达悦融一年持有混合A1.05792025-03-250.090.170.421.284.114.116.087.395.791.205.79
混合型020267宏利睿智成长混合A1.04112025-03-250.06-2.25-1.380.916.934.114.114.114.111.244.11
债券型005690中银安享债券A1.04762025-03-250.080.40-0.10-0.160.784.118.9311.3416.72-0.6024.30
债券型011110南方晖元6个月持有期债券C0.96262025-03-250.02-0.17-0.030.502.094.111.05-2.58-3.740.30-3.74


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