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011530泓德优质治理灵活配置混合0.63882025-03-250.06-0.811.46-0.689.403.95-13.12-20.96-36.12-0.45-36.12
债券型017156易方达岁丰添利债券(LOF)C1.68242025-03-250.070.110.050.292.423.947.437.097.090.087.09
债券型161120易方达中债新综指发起式(LOF)C1.67122025-03-250.110.40-0.42-0.610.773.949.2812.6818.94-0.9867.12
债券型270009广发增强债券C1.32622025-03-250.09-0.25-0.310.352.933.946.248.5715.090.23117.69
债券型007684华商转债精选债券C1.16162025-03-250.30-1.06-0.141.4810.463.944.105.3916.161.9516.16
债券型002735泓德裕荣纯债债券C1.13752025-03-250.10-0.070.180.982.533.946.729.8810.390.8229.67
债券型007600泰康润颐63个月定开债券1.07812025-03-210.000.070.290.931.913.947.8412.0718.680.8018.68
混合型161224国投瑞银新丝路混合(LOF)0.99682025-03-250.72-5.08-0.434.5629.123.94-17.854.5151.225.5098.59
混合型011072鹏华安悦一年持有期混合C0.99312025-03-25-0.55-1.11-0.342.073.193.943.231.36-0.691.96-0.69
债券型011700蜂巢丰华债券C1.05292025-03-250.030.13-0.12-0.441.243.947.8010.3611.85-0.7111.85
债券型008049国联睿享86个月定开债券C1.05082025-03-210.000.080.290.921.903.947.9012.2621.030.8122.64
债券型020861万家悦兴3个月定期开放债券型发起1.04312025-03-250.050.27-0.13-0.591.353.943.943.943.94-0.973.94
债券型018488汇添富鑫荣纯债C1.03782025-03-250.110.44-0.56-0.511.063.946.056.056.05-1.076.05
债券型019043华夏鼎创债券A1.02312025-03-250.030.17-0.17-0.621.113.945.985.985.98-0.825.98
债券型007432华泰保兴久盈63个月定开债1.00312025-03-210.000.070.290.941.923.947.9212.1918.690.8218.69
债券型164703汇添富纯债(LOF)A0.83802025-03-250.170.62-0.100.062.153.947.089.7215.75-0.46104.99
混合型011325国泰江源优势精选混合C1.58532025-03-25-0.78-1.832.616.2816.543.94-11.91-26.21-26.415.81-26.41
混合型008794博道嘉元混合C1.34582025-03-250.11-2.72-1.04-0.6113.983.94-7.17-11.7043.540.9834.58
债券型008257南方中债1-5年国开行债券指数C1.05382025-03-250.120.510.00-0.910.593.937.8510.5816.57-1.1016.57
债券型008256南方中债1-5年国开行债券指数A1.05312025-03-250.120.510.00-0.910.593.937.9610.7917.07-1.1017.07
债券型018196兴证全球恒远债券A1.04862025-03-250.060.340.010.031.273.936.946.946.94-0.396.94
债券型008016嘉实中债3-5年国开债指数C1.04802025-03-250.020.120.00-0.601.093.937.4410.1216.56-0.7819.19
债券型010233农银金润一年定开债1.03792025-03-250.070.260.14-0.271.033.939.0612.4016.96-0.4816.96
债券型017928南华瑞富一年定开债券发起式1.03532025-03-250.080.51-0.10-0.221.093.936.716.716.71-0.586.71
债券型017717嘉实多盈债券A1.03522025-03-250.080.30-1.25-0.381.513.933.633.523.52-0.803.52
债券型021588广发景利纯债C1.03172025-03-250.050.170.210.071.823.933.933.933.93-0.143.93
债券型003824天弘信利债券A1.02902025-03-250.020.260.150.281.273.939.5913.0220.63-0.0138.65
债券型009815宏利乐盈66个月定开债C1.02482025-03-250.010.070.290.931.933.937.7511.8718.420.8618.42
债券型009685景顺长城景泰宝利一年定开债1.01722025-03-250.070.340.100.471.523.938.1411.6118.550.2518.55
债券型009711招商添盛78个月定开债1.00192025-03-250.010.070.290.901.903.937.8511.9918.720.8418.72
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
债券型006549国金惠盈纯债A1.26592025-03-250.170.70-1.11-1.19-0.093.9311.7615.6720.24-1.8531.11
债券型004438鹏华永安定期开放债券1.23132025-03-250.040.320.270.391.963.9310.5314.2523.480.1947.56
债券型002638兴业天融债券A1.09412025-03-250.030.24-0.16-0.590.993.938.5111.4417.96-0.8440.99
债券型011880国泰中债1-5年政金债A1.08642025-03-250.010.140.16-0.191.353.938.3911.3712.02-0.3812.02
债券型000064大摩18个月定开债C1.06902025-03-210.000.00-1.20-0.561.233.937.259.6916.95-0.6596.87
混合型013757泰信均衡价值混合A0.65132025-03-25-0.43-2.62-5.643.2813.213.93-22.54-32.17-34.874.59-34.87
混合型017225国泰悦益六个月持有混合C0.99502025-03-25-0.04-0.64-0.430.685.343.930.18-0.50-0.500.76-0.50
混合型003143鹏华弘达混合C1.09852025-03-250.030.11-0.14-0.710.103.92-10.28-14.65-3.35-1.0611.82
混合型020287永赢红利慧选混合发起A1.03912025-03-250.680.895.17-0.039.063.923.913.913.91-0.543.91
混合型015269招商瑞联1年持有混合C1.03402025-03-25-0.13-0.710.070.904.683.922.633.403.401.223.40
混合型009516中欧真益稳健一年混合C1.03052025-03-250.02-0.57-0.44-0.024.523.92-0.76-3.603.05-0.103.05
混合型011577鹏华安诚混合C1.00832025-03-250.060.240.180.241.423.921.222.000.83-0.050.83
债券型011166万家陆家嘴金融城金融债1.04762025-03-210.00-0.03-0.29-0.611.443.927.9910.5215.76-0.7515.76
债券型012012海富通瑞兴3个月定开债券A1.02382025-03-250.070.340.010.011.513.928.6311.6213.30-0.1913.30
债券型008900国联安增泰一年定开债发起式1.01452025-03-210.000.02-0.33-0.761.723.928.3311.4817.52-0.9217.52
债券型020214银华晶鑫债券C1.03912025-03-250.130.430.220.051.893.913.913.913.91-0.023.91
债券型020211兴华安启纯债A1.03912025-03-250.210.95-0.91-0.801.943.913.913.913.91-1.673.91
债券型012859天弘睿选利率债发起式C1.03812025-03-250.130.64-0.74-0.941.253.919.4611.8613.83-1.5913.83
债券型020796诺安泰鑫一年定期开放债券D1.03532025-03-210.000.15-0.030.452.873.913.913.913.910.053.91
混合型008025汇添富稳健增长混合A1.20242025-03-25-0.18-0.461.141.632.613.91-0.024.7120.551.3720.24
混合型009725东方红优质甄选一年持有混合A1.03382025-03-25-0.01-0.080.190.703.673.915.938.7218.380.7018.38
混合型011735国寿安保裕丰混合C0.94322025-03-250.00-0.901.550.745.303.91-4.77-2.99-5.681.04-5.68
股票型100033富国中证红利指数增强A0.96302025-03-26-0.210.212.56-0.992.773.9111.6615.7859.11-1.56352.31
股票型100032富国中证红利指数增强A0.96302025-03-26-0.210.212.56-0.992.773.9111.6615.7859.11-1.56352.31
股票型012538华宝中证细分化工产业主题ETF联接0.59742025-03-26-0.25-0.910.902.2410.223.91-19.42-29.43-40.263.59-40.26
股票型021866嘉实沪深300红利低波动ETF联接I1.33642025-03-26-0.28-0.111.26-2.603.943.913.913.913.91-3.123.91
指数型100033富国中证红利指数增强A0.96302025-03-26-0.210.212.56-0.992.773.9111.6615.7859.11-1.56352.31
指数型100032富国中证红利指数增强A0.96302025-03-26-0.210.212.56-0.992.773.9111.6615.7859.11-1.56352.31
指数型012538华宝中证细分化工产业主题ETF联接0.59742025-03-26-0.25-0.910.902.2410.223.91-19.42-29.43-40.263.59-40.26
指数型021866嘉实沪深300红利低波动ETF联接I1.33642025-03-26-0.28-0.111.26-2.603.943.913.913.913.91-3.123.91
债券型003499前海联合添和纯债C1.12122025-03-250.030.11-0.020.342.753.917.749.6114.47-0.0330.97
债券型004979华夏鼎诺三个月定开债A1.11592025-03-250.060.250.170.111.283.918.9412.1417.31-0.1323.69
债券型006163融通增辉定开债券发起式1.09792025-03-250.080.510.25-0.011.183.918.359.8820.36-0.1934.85
债券型019161博时悦楚纯债债券C1.07292025-03-250.020.200.070.091.443.916.066.066.06-0.116.06
债券型021883南方宝元债券E2.63982025-03-250.060.071.24-0.314.613.903.903.903.90-0.163.90
债券型008469朱雀安鑫回报债券A1.21692025-03-25-0.36-1.01-0.601.663.433.904.085.8821.501.7321.69
债券型010626国新国证荣赢63个月定开债1.13622025-03-250.010.070.290.901.883.907.7911.8516.710.8316.71
债券型008028申万菱信安泰广利63个月定开债1.06402025-03-210.000.070.280.921.893.907.7611.9117.540.8017.54
债券型009748汇丰晋信惠安纯债63个月定开债1.05342025-03-210.000.080.290.921.893.907.7411.9217.370.8017.37
债券型006645银华安丰中短期政策性金融债债券A1.04632025-03-250.040.22-0.16-0.551.063.908.4711.1016.56-0.7823.01
债券型010261海富通策略收益债券C1.04252025-03-250.09-0.080.340.702.533.904.253.304.250.774.25
债券型020368鹏华0-5年利率发起式债券C1.03242025-03-250.050.130.00-0.031.943.903.903.903.90-0.293.90
债券型015659中信建投景晟债券A1.02642025-03-250.100.49-0.56-0.542.183.907.978.658.65-0.898.65
债券型014387光大尊利纯债一年定开债发起式1.02002025-03-250.080.28-0.16-0.471.043.907.969.209.20-0.929.20
混合型005674诺德消费升级混合1.20122025-03-25-1.77-3.15-1.185.6524.173.90-14.42-20.85-1.356.4620.11
混合型001604浙商汇金转型升级A1.04902025-03-251.061.512.79-0.08-0.023.9012.165.8926.03-0.2833.85
混合型010845宏利波控回报12个月持有混合1.02342025-03-25-0.13-0.80-0.140.044.403.904.085.622.34-0.202.34
混合型011980国富匠心精选混合A0.90022025-03-25-1.69-4.41-3.47-0.347.053.90-1.71-7.70-9.980.32-9.98
混合型011710中欧睿泽混合A0.71582025-03-25-0.03-2.097.080.5126.203.90-29.32-18.95-28.422.40-28.42
混合型007318中银民丰回报混合1.21642025-03-25-0.11-0.520.09-0.083.543.892.754.0819.930.2323.79
混合型001106华商健康生活混合0.90702025-03-25-0.44-5.32-8.111.9117.493.89-23.65-31.60-6.973.30-5.78
债券型018138景顺长城中债0-3年政策性金融债指1.04812025-03-250.040.24-0.02-0.540.623.896.816.816.81-0.676.81
债券型012539东方兴润债券A1.03962025-03-250.060.300.230.271.323.898.128.755.390.175.39
债券型007619中欧润逸63个月定开债1.03302025-03-250.010.080.290.911.913.897.8512.0318.690.8418.69
债券型016026渤海汇金汇鑫益3个月定开债发起1.01872025-03-250.080.32-0.20-0.641.073.897.687.907.90-0.897.90
混合型005140华夏睿磐泰荣混合A1.32782025-03-250.04-0.150.210.222.543.895.136.1123.360.0745.63
债券型006177中信保诚稳达A1.09442025-03-250.260.85-0.12-0.261.273.899.3812.7618.81-0.7931.26
债券型018080鹏华稳健添利债券A1.06642025-03-250.030.000.580.151.713.896.646.646.64-0.076.64
债券型013378方正富邦稳裕纯债A1.06232025-03-250.080.340.170.031.143.898.4611.9513.96-0.1913.96
债券型016011西部利得沣享债券A1.06042025-03-250.030.18-0.02-0.361.263.898.429.169.16-0.589.16
QDII型020512摩根海外稳健配置混合(QDII-FOF)1.07392025-03-240.010.200.330.673.043.894.354.354.350.554.35
债券型018587汇添富双享增利债券C1.04602025-03-25-0.05-0.30-0.210.291.483.884.604.604.600.084.60
债券型018632银华顺和债券1.04242025-03-250.030.21-0.13-0.441.203.886.056.056.05-0.696.05
债券型016211摩根瑞享纯债债券C1.03992025-03-250.020.06-0.130.252.233.887.417.727.720.037.72
债券型012440平安惠信3个月定开债A1.03112025-03-250.060.320.15-0.140.893.888.9011.6413.80-0.3613.80
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009587国寿安保瑞和66个月定开债1.01172025-03-210.000.070.290.931.893.887.7511.9118.920.8118.92
债券型004061华夏鼎隆债券A1.00212025-03-250.010.120.12-0.101.043.889.8614.0619.07-0.2029.40
债券型009674嘉合慧康63个月定开债券C1.00142025-03-210.000.070.280.911.873.887.6811.8218.090.7918.09
混合型008893创金合信鑫利混合A1.46892025-03-250.040.150.320.250.593.889.3114.4850.410.1846.89
混合型009181浙商智多兴稳健回报一年持有混合A1.04092025-03-250.150.321.240.824.023.882.302.8911.470.6411.47
混合型017266招商瑞成1年持有期混合C1.03982025-03-25-0.18-0.740.901.544.683.883.983.983.981.753.98
混合型009134汇安嘉利混合C0.99152025-03-250.10-0.130.310.573.743.88-4.12-9.57-0.850.57-0.85
混合型012287东海启航6个月持有混合A0.88852025-03-250.15-0.131.570.774.353.88-7.86-8.52-11.151.28-11.15
债券型270048广发纯债债券A1.25182025-03-250.060.340.080.071.123.889.5213.2922.21-0.2081.84
债券型008858华夏鼎航债券C1.25042025-03-250.030.280.240.010.953.8811.7915.4425.04-0.1325.04
债券型003223广发景丰纯债A1.16162025-03-250.080.410.02-0.011.043.889.9112.7520.30-0.3936.83
债券型008993汇添富多策略纯债A1.16022025-03-250.050.220.090.181.383.888.3311.2416.02-0.0616.02
债券型011115海富通利率债债券A1.07832025-03-250.070.36-0.26-0.550.873.888.0310.6213.34-0.8613.34
债券型018067国金中债1-5年政策性金融债A1.06522025-03-250.030.20-0.14-0.840.773.886.526.526.52-1.026.52
债券型007285工银中债1-5年进出口行C1.06482025-03-250.030.15-0.10-0.611.133.887.7710.0915.13-0.8617.53
债券型002991嘉实稳鑫纯债债券1.06292025-03-250.040.23-0.17-0.321.493.887.599.5815.80-0.6428.76
指数型019269国泰富时中国国企开放共赢ETF发起1.08162025-03-26-0.260.020.64-5.29-0.043.878.168.168.16-5.418.16
债券型000148易方达高等级信用债债券C1.19022025-03-250.050.250.13-0.051.123.879.645.429.34-0.2855.49
债券型010482汇添富盛和66个月定开债1.08862025-03-250.010.070.290.901.873.877.8112.0217.640.8417.64
债券型009924中银中债1-5年国开债指数1.08102025-03-250.050.19-0.35-0.740.843.877.5810.0915.42-1.0015.42
债券型010467华安锦溶0-5年金融债定开债1.07602025-03-250.060.28-0.05-0.241.213.877.8210.4515.20-0.5915.20
债券型007094建信中债国开行债A1.07342025-03-250.010.120.02-0.360.973.878.2010.5517.45-0.5724.92
债券型013716国联恒利纯债A1.06992025-03-250.070.420.000.120.943.878.1411.6712.02-0.3312.02
债券型017710富国增利债券发起式A1.06292025-03-250.080.330.05-0.061.083.877.897.897.89-0.297.89
债券型006207泰康裕泰债券A1.05432025-03-25-0.02-0.140.330.250.893.877.678.0117.49-0.0222.71
债券型012693博时中债0-3年国开行债券ETF联接C1.05092025-03-250.010.15-0.05-0.340.923.879.3111.6513.36-0.5413.36
债券型006927浙商汇金聚鑫定开债发起式1.04642025-03-250.050.320.00-0.171.053.878.2210.9617.33-0.5523.11
债券型020047广发添盈180天持有债券C1.04142025-03-250.060.28-0.12-0.091.183.874.144.144.14-0.434.14
债券型017805惠升和润39个月封闭债券1.01642025-03-250.020.110.250.631.383.877.667.667.660.507.66
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002767泰康宏泰回报混合A1.66602025-03-250.14-0.021.120.232.923.874.709.2524.730.0066.60
混合型004175博时鑫泰混合A1.53222025-03-250.170.220.40-0.391.563.875.637.4334.26-0.44100.74
混合型002026广发聚盛混合C1.47802025-03-25-0.01-0.74-0.78-0.675.273.875.5010.5327.99-0.9463.66
混合型008894创金合信鑫利混合C1.45212025-03-250.040.140.320.260.593.879.0914.1648.800.1745.21
混合型070018嘉实回报混合1.42402025-03-25-0.07-0.972.011.5013.473.87-14.47-12.3742.232.45175.71
股票型019269国泰富时中国国企开放共赢ETF发起1.08162025-03-26-0.260.020.64-5.29-0.043.878.168.168.16-5.418.16
混合型009413易方达招易一年持有期混合C1.16362025-03-250.110.480.79-1.031.263.875.497.1016.36-1.2616.36
混合型012271富国腾享回报6个月滚动持有C1.07932025-03-25-0.30-0.93-2.080.092.543.873.735.727.930.187.93
混合型017568华夏稳茂增益一年持有混合A1.04892025-03-25-0.05-0.590.370.482.483.874.894.894.890.344.89
混合型015985金鹰碳中和混合发起式C0.91842025-03-25-1.37-2.85-3.792.536.043.87-7.68-8.16-8.162.10-8.16
混合型006007诺安积极配置混合A1.28622025-03-25-0.32-1.764.193.2919.873.86-15.68-7.13-11.534.1128.62
混合型009202中邮优享一年定开混合C1.14642025-03-210.00-0.46-0.86-0.274.293.867.456.4514.63-0.5414.63
混合型002388天弘裕利灵活配置混合A1.11162025-03-250.461.001.070.383.493.86-6.08-8.91-5.19-0.2912.18
混合型014892永赢添添欣12个月持有混合A1.10672025-03-250.02-0.13-0.23-0.201.903.866.8211.3710.67-0.3210.67
混合型018175富国龙头优势混合C1.10322025-03-25-1.45-4.05-2.126.0515.123.86-10.32-10.32-10.328.57-10.32
混合型011996国泰诚益混合C0.98102024-12-17-0.090.321.710.941.083.86-0.91-4.49-1.903.36-1.90
混合型011801中银证券盈瑞混合A0.86282025-03-250.130.080.45-1.393.953.86-8.98-11.21-13.72-1.46-13.72
债券型016926华夏鼎辉债券C1.05312025-03-250.040.21-0.15-0.391.083.867.918.718.71-0.678.71
债券型020959摩根纯债丰利债券D1.05142025-03-250.040.130.00-0.071.243.863.693.693.69-0.423.69
债券型472007汇添富利率债1.04762025-03-250.010.080.14-0.081.293.868.4211.0717.48-0.1518.56
债券型015393泰康安泓纯债一年定开债1.04502025-03-210.000.02-0.17-0.691.013.868.298.778.77-0.828.77
债券型018215景顺长城景颐辰利债券C1.04302025-03-25-0.05-0.220.08-0.142.523.864.314.314.31-0.094.31


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