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010508博时鑫康混合A1.12742025-03-250.03-0.440.333.6713.3510.643.2312.8616.853.1916.85
混合型018545国投瑞银瑞盛混合(LOF)C1.12222025-03-250.030.03-0.04-1.081.741.680.670.670.67-1.150.67
混合型010511博时鑫康混合C1.11312025-03-250.03-0.450.313.5613.1210.182.3911.5614.853.0914.85
混合型011872中邮悦享6个月持有期混合A1.11142025-03-250.03-1.26-1.720.055.268.049.9610.8511.14-0.1711.14
混合型008895申万菱信量化对冲策略灵活配置混1.10682025-03-250.030.050.651.790.181.702.531.4910.681.6710.68
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
混合型009887广发稳健优选六个月持有期混合A1.08602025-03-250.03-1.890.90-3.256.317.501.826.078.60-2.538.60
混合型018751山证资管精选行业混合发起式C1.08582025-03-250.03-4.41-1.60-5.6316.238.588.588.588.58-3.418.58
混合型018750山证资管精选行业混合发起式A1.08052025-03-250.03-4.40-2.09-6.0915.367.898.058.058.05-3.898.05
混合型011004永赢鑫盛混合A1.07982025-03-250.030.140.230.471.764.276.337.197.980.337.98
混合型019660永赢鑫盛混合C1.07662025-03-250.030.130.200.371.563.856.306.306.300.246.30
混合型010817国联安鑫稳3个月持有混合A1.06872025-03-250.030.040.31-0.214.286.135.906.256.87-0.306.87
混合型017077华泰紫金景泓12个月持有期混合发1.06762025-03-250.03-0.070.360.462.354.466.136.766.760.136.76
混合型010465鹏扬景创混合A1.06632025-03-250.030.200.060.182.183.314.206.416.630.036.63
混合型009888广发稳健优选六个月持有期混合C1.06602025-03-250.03-1.900.87-3.356.107.070.994.806.60-2.626.60
混合型004608长信乐信灵活配置混合A1.06482025-03-250.03-0.38-0.660.091.383.420.54-8.045.85-0.4128.69
混合型010713中欧瑾利混合C1.06192025-03-250.03-0.040.370.046.063.452.826.9710.53-0.2210.53
混合型009515中欧真益稳健一年混合A1.06072025-03-250.03-0.55-0.390.134.834.540.44-1.846.070.046.07
混合型004609长信乐信灵活配置混合C1.06012025-03-250.03-0.38-0.670.061.283.170.05-8.714.57-0.4428.12
混合型017078华泰紫金景泓12个月持有期混合发1.05782025-03-250.03-0.090.310.362.144.035.275.785.780.035.78
混合型011784天弘招添利混合发起A1.05652025-03-250.030.160.250.310.972.793.016.575.650.185.65
混合型022047天弘招添利混合发起E1.05462025-03-250.030.160.230.250.831.131.131.131.130.111.13
混合型011785天弘招添利混合发起C1.05222025-03-250.030.160.250.310.922.682.796.235.220.175.22
混合型018635嘉实稳健增利6个月持有混合A1.04992025-03-250.03-0.10-0.100.662.654.414.994.994.990.514.99
混合型519937长信先锐混合A1.04942025-03-250.03-0.380.452.315.486.693.931.5120.611.6436.63
混合型010466鹏扬景创混合C1.04792025-03-250.030.190.030.081.972.903.365.134.79-0.074.79
混合型017540安信稳健增益6个月持有混合A1.04742025-03-250.03-0.140.850.414.485.144.744.744.740.494.74
混合型018636嘉实稳健增利6个月持有混合C1.04502025-03-250.03-0.11-0.130.562.443.994.504.504.500.404.50
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020354农银瑞益一年持有混合A1.03362025-03-250.03-0.210.110.091.612.913.363.363.36-0.063.36
混合型020355农银瑞益一年持有混合C1.02882025-03-250.03-0.210.08-0.021.412.502.882.882.88-0.162.88
混合型011409天弘益新混合C1.02652025-03-250.030.090.170.140.741.940.801.132.650.022.65
混合型010640财通稳进回报6个月持有混合A1.01672025-03-250.030.16-0.12-0.450.441.06-1.110.881.67-0.641.67
混合型008918长信先锐混合C1.01122025-03-250.03-0.390.442.285.446.633.810.1117.471.6116.41
混合型012162安信招信一年持有混合C1.00892025-03-250.030.02-0.05-0.251.802.844.126.370.89-0.390.89
混合型022371鹏华弘泰混合D1.00752025-03-250.030.110.160.120.750.750.750.750.750.030.75
混合型010641财通稳进回报6个月持有混合C1.00712025-03-250.030.15-0.14-0.490.350.83-1.640.040.71-0.690.71
混合型006843中信建投睿溢混合C1.00452025-03-250.030.25-0.190.081.273.406.99-6.79-0.10-0.130.45
混合型012685长城优选招益一年持有混合A1.00372025-03-250.03-0.100.030.552.452.210.031.480.370.550.37
混合型022248鹏华弘达混合E1.00312025-03-250.030.11-0.14-0.690.310.310.310.310.31-1.060.31
混合型860027光大阳光价值30个月混合B1.00262025-03-250.03-1.731.852.4512.9710.03-9.10-8.06-0.742.94-0.74
混合型005371中加心悦混合A1.00232025-03-250.030.22-0.13-0.280.641.02-4.87-1.34-7.25-0.550.51
混合型005372中加心悦混合C1.00122025-03-250.030.22-0.13-0.310.600.96-4.89-1.41-7.30-0.570.40
混合型023099金信周期价值混合A1.00062025-03-250.030.050.060.060.060.060.060.060.060.060.06
混合型023100金信周期价值混合C0.99982025-03-250.03-0.03-0.02-0.02-0.02-0.02-0.02-0.02-0.02-0.02-0.02
混合型022972鹏华弘信混合D0.99882025-03-250.030.140.05-0.02-0.12-0.12-0.12-0.12-0.12-0.22-0.12
混合型010379广发均衡优选混合A0.99842025-03-250.03-1.790.80-3.276.187.560.814.28-0.16-2.55-0.16
混合型017615广发安颐一年持有期混合A0.99322025-03-250.03-0.64-0.771.567.314.83-0.82-0.68-0.681.90-0.68
混合型015259鹏华稳享一年持有期混合C0.99102025-03-250.03-0.031.150.140.401.810.96-0.90-0.900.22-0.90
混合型021599华泰紫金丰和偏债混合发起D0.97442025-03-250.03-0.050.360.481.571.811.811.811.810.261.81
混合型011494华泰紫金丰和偏债混合发起A0.97442025-03-250.03-0.050.360.471.575.40-0.65-3.16-2.560.26-2.56
混合型022507华泰紫金丰和偏债混合发起E0.97302025-03-250.03-0.050.330.361.041.041.041.041.040.141.04
混合型007251广发睿享稳健增利混合A0.97272025-03-250.03-0.060.30-0.084.174.54-0.25-3.03-5.69-0.21-2.73
混合型015559长江启航混合发起式A0.96902025-03-250.03-1.132.862.7014.882.56-12.00-3.10-3.103.55-3.10
混合型011702广发睿享稳健增利混合C0.96752025-03-250.03-0.070.30-0.114.124.44-0.43-3.44-12.28-0.23-12.28
混合型011495华泰紫金丰和偏债混合发起C0.96172025-03-250.03-0.050.350.481.555.17-1.27-4.15-3.830.26-3.83
混合型015560长江启航混合发起式C0.95822025-03-250.03-1.132.822.6014.642.15-12.70-4.18-4.183.45-4.18
混合型013767平安价值回报混合A0.93752025-03-250.03-0.263.590.416.634.83-0.05-6.25-6.25-0.21-6.25
混合型010584渤海汇金新动能主题混合A0.92542025-03-250.03-4.70-0.929.1737.6922.054.782.77-7.4610.50-7.46
混合型006601国融融泰灵活配置混合A0.71962025-03-250.030.170.190.351.473.54-1.68-18.34-27.480.25-23.75
混合型006602国融融泰灵活配置混合C0.71582025-03-250.030.170.210.361.473.53-1.95-18.77-27.860.27-24.15
混合型000892九泰天宝灵活配置混合A0.67492025-03-250.030.090.330.461.18-1.19-37.51-45.48-49.260.40-24.98
混合型002028九泰天宝灵活配置混合C0.67042025-03-250.030.090.310.401.12-1.27-37.58-45.67-49.590.36-28.48
债券型018060兴合锦安利率债C1.78032025-03-250.030.22-0.10-0.540.921.62197.62197.62197.62-0.74197.62
债券型008566蜂巢添盈纯债A1.74392025-03-250.030.210.110.022.836.6013.1382.4290.66-0.2493.16
债券型018059兴合锦安利率债A1.73992025-03-250.030.22-0.07-0.461.071.91186.92186.92186.92-0.67186.92
债券型008567蜂巢添盈纯债C1.66102025-03-250.030.210.110.012.836.5613.0682.2490.39-0.2592.84
债券型009083华夏鼎佳债券C1.51462025-03-250.030.150.170.131.723.668.1110.7762.00-0.0962.00
债券型970085国联汇富债券C1.50572025-03-250.030.190.250.380.902.106.4948.5850.570.2450.57
债券型001031华夏安康债券A1.47662025-03-250.030.180.16-0.201.125.90-4.613.198.89-0.3568.50
债券型001033华夏安康债券C1.41952025-03-250.030.170.13-0.270.965.58-5.182.277.29-0.4362.22
债券型007338前海联合泳辉纯债C1.40952025-03-250.030.10-0.190.561.333.519.3911.8816.40-0.0949.80
债券型019045申万菱信安泰裕利纯债债券A1.39922025-03-250.030.23-0.23-0.431.4239.8439.9239.9239.92-0.8239.92
债券型019046申万菱信安泰裕利纯债债券C1.39282025-03-250.030.23-0.25-0.411.3539.2139.2839.2839.28-0.8039.28
债券型004736富国鼎利纯债三个月定开债1.35292025-03-250.030.15-0.12-0.300.893.657.7611.0419.63-0.5242.23
债券型040012华安强化收益债券A1.34742025-03-250.03-1.87-1.036.8021.8717.5616.1619.6626.006.54178.65
债券型000943工银中高等级信用债债券A1.34582025-03-250.030.220.10-0.300.762.847.2210.0316.41-0.5234.58
债券型040013华安强化收益债券B1.32562025-03-250.03-1.88-1.066.7021.6417.0915.2718.2523.376.45160.78
债券型000054鹏华双债增利债券A1.31872025-03-250.03-0.180.400.403.126.253.563.7819.360.4177.78
债券型519685交银双利债券C1.31582025-03-250.030.050.060.050.672.402.173.596.72-0.0874.50
债券型007053平安季开鑫定开债A1.27572025-03-250.030.160.170.080.541.936.0312.4622.40-0.1527.57
债券型022254国联盈泽中短债B1.26762025-03-250.030.120.140.161.001.001.001.001.000.101.00
债券型003009国联盈泽中短债A1.26662025-03-250.030.120.140.160.872.206.469.5015.060.1049.75
债券型007055平安季开鑫定开债E1.25802025-03-250.030.160.140.010.411.675.4911.6120.88-0.2125.80
债券型007054平安季开鑫定开债C1.25632025-03-250.030.160.160.050.490.644.5811.4420.58-0.1725.63
债券型519669银河领先债券A1.25412025-03-250.03-0.05-0.061.043.309.1510.5813.5021.590.8596.64
债券型013456长盛安逸纯债债券D1.25092025-03-250.030.230.190.071.223.298.5913.6918.88-0.1418.88
债券型007744长盛安逸纯债债券A1.25092025-03-250.030.230.190.071.223.298.5913.6924.60-0.1425.09
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007025南方鑫利3个月定开债1.24782025-03-250.030.24-0.05-0.320.953.358.3312.0719.03-0.5224.78
债券型017763银河领先债券C1.24712025-03-250.03-0.05-0.070.983.248.8210.0710.9210.920.8010.92
债券型005755平安短债C1.24632025-03-250.030.140.200.170.942.215.778.5317.430.1027.07
债券型970024华安证券聚赢一年持有A1.23602025-03-250.03-0.12-0.010.421.673.5010.5215.4523.540.4123.54
债券型006653南方畅利定开债发起式1.23252025-03-250.030.240.15-0.230.843.096.7910.0222.22-0.5329.36
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007745长盛安逸纯债债券C1.22862025-03-250.030.230.170.001.082.987.9412.6722.44-0.2122.86
债券型005754平安短债A1.22552025-03-250.030.140.210.200.812.145.798.6515.330.1224.94
债券型006504广发汇承定期开放债券1.22472025-03-250.030.250.110.111.013.427.0510.3218.02-0.1525.35
债券型007378西部利得聚享一年定开债券C1.22422025-03-250.030.240.21-0.050.512.426.448.9216.14-0.1622.42
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010048平安短债I1.20522025-03-250.030.140.190.150.701.935.367.9813.600.0713.60
债券型017904博时景发纯债债券C1.19702025-03-250.030.150.04-0.011.333.245.455.485.48-0.215.48
债券型000395汇添富安心中国债券A1.19702025-03-250.030.180.06-0.240.743.846.768.7613.25-0.4745.41
债券型021906汇添富安心中国债券D1.19662025-03-250.030.180.06-0.240.741.231.231.231.23-0.461.23
债券型920927中金恒瑞债券C1.19422025-03-250.030.130.060.030.651.724.917.4516.73-0.0316.73
债券型006606泓德裕丰中短债债券A1.18932025-03-250.030.140.270.170.912.024.787.2512.340.0918.93
债券型006332招商金鸿债券A1.18872025-03-250.03-0.26-0.08-0.081.223.116.6610.1817.83-0.2627.52
债券型016951鹏华丰顺债券A1.18802025-03-250.030.150.280.342.1513.9518.8018.8018.800.2118.80
债券型020252银河中债0-3年政金债指数A1.18612025-03-250.030.140.13-0.0314.9017.9718.6118.6118.61-0.1718.61
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040045华安添鑫中短债A1.18512025-03-250.030.090.200.270.852.195.177.9714.700.2650.86
债券型020798万家信用恒利债券D1.18262025-03-250.030.190.230.140.913.203.123.123.12-0.083.12
债券型003425江信添福A1.18122025-03-250.030.140.220.301.012.215.549.5816.970.2436.49
债券型163827中银产业债债券A1.18112025-03-250.03-0.670.141.728.399.259.1112.4126.941.7265.04
债券型021775招商金鸿债券D1.18112025-03-250.03-0.26-0.08-0.080.851.231.231.231.23-0.261.23
债券型000396汇添富安心中国债券C1.18112025-03-250.030.170.03-0.340.543.425.967.4710.95-0.5643.79
债券型003461嘉实稳元纯债债券A1.17892025-03-250.030.150.170.080.982.756.268.4814.37-0.1433.33
债券型007456汇添富90天短债A1.17862025-03-250.030.120.200.341.042.315.407.7114.070.2518.16
债券型007458汇添富90天短债C1.17812025-03-250.030.120.200.331.042.305.377.6914.020.2518.11
债券型009655工银尊益中短债A1.17572025-03-250.030.140.180.201.072.226.209.6617.570.1417.57
债券型008873国寿安保尊诚纯债A1.17492025-03-250.030.14-0.070.271.784.919.6113.1617.84-0.0617.84
债券型000403工银纯债债券B1.17452025-03-250.030.200.09-0.071.202.796.8810.3317.48-0.2258.34
债券型002337创金合信季安鑫3个月A1.17412025-03-250.030.190.210.231.152.486.209.3116.450.1212.46
债券型003124天治鑫利纯债债券C1.17392025-03-250.030.200.140.091.053.157.958.1912.29-0.0320.77
债券型006804富国短债债券型A1.17382025-03-250.030.130.200.200.882.125.307.7814.610.1219.38
债券型019802富国短债债券型D1.17352025-03-250.030.130.200.200.862.113.623.623.620.123.62
债券型006773国寿安保尊荣中短债债券A1.17272025-03-250.030.220.390.410.962.246.539.1515.640.2721.42
债券型008501鹏扬聚利六个月持有期债券A1.17262025-03-250.030.130.710.336.007.115.809.2418.050.2717.26
债券型006333招商金鸿债券C1.17182025-03-250.03-0.26-0.11-0.161.052.796.009.1716.06-0.3425.06
债券型006668华夏中短债债券A1.17082025-03-250.030.160.250.361.483.487.6610.3516.260.1922.61
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007149南方初元中短债A1.16912025-03-250.030.090.190.030.821.894.407.0013.63-0.1216.91
债券型002341招商招瑞纯债发起式A1.16842025-03-250.030.240.06-0.091.052.726.699.6115.59-0.3341.13
债券型020532湘财鑫睿债券A1.16832025-03-250.030.110.070.060.330.9257.6057.6057.600.0257.60
债券型007020华安添鑫中短债C1.16732025-03-250.030.090.190.220.751.984.757.3013.320.2116.75
债券型011953招商招瑞纯债发起式D1.16652025-03-250.030.260.150.221.633.827.6710.5813.74-0.0413.74
债券型009045浦银安盛盛智一年定开债券1.16602025-03-250.030.210.050.001.905.2912.4115.3719.86-0.2819.86
债券型020595浙商中短债D1.16562025-03-250.030.190.270.461.224.024.594.594.590.284.59
债券型011489创金合信双季享6个月持有A1.16492025-03-250.030.140.210.260.762.578.1612.9316.490.1716.49
债券型007069浦银安盛普丰纯债债券C1.16352025-03-250.030.15-0.09-0.620.291.614.1666.6771.41-0.7974.85
债券型860035光大阳光稳债中短债债券A1.16342025-03-250.030.150.180.170.692.175.849.0415.740.1015.74
债券型007227海富通中短债债券A1.16302025-03-250.030.160.220.291.042.359.4911.0214.670.2216.30
债券型021767海富通中短债债券D1.16292025-03-250.030.150.220.291.031.501.501.501.500.221.50
债券型000137民生加银岁岁增利债券A1.16282025-03-250.030.26-0.26-0.291.163.387.8410.8116.87-0.6483.94
债券型021163鑫元中短债D1.16262025-03-250.030.120.220.290.841.151.151.151.150.201.15
债券型009459创金合信季安鑫3个月C1.16212025-03-250.030.180.210.191.052.285.798.6816.210.0816.21
债券型020083易方达投资级信用债债券D1.15992025-03-250.030.160.210.010.642.795.455.455.45-0.135.45
债券型000205易方达投资级信用债债券A1.15982025-03-250.030.160.210.010.632.798.0311.2817.61-0.1374.50
债券型008578东海祥苏短债A1.15942025-03-250.030.120.220.411.322.446.4410.4615.800.3615.94


1、默认按“日涨幅%”排序提供信息查看,如需定制查看方式请联系站上客服咨询。
2、按"最新净值"排序,可以查看基金的净值大小进行分析,查看最新净值排序。
3、按"近1周%"排序,可以查看基金最近一周的涨幅情况,查看近1周%排序。
4、按"近1月%"排序,可以查看基金最近一月的涨幅情况,查看近1月%排序。
5、按"近3月%"排序,可以查看基金最近三月的涨幅情况,查看近3月%排序。
6、按"近6月%"排序,可以查看基金最近六月的涨幅情况,查看近6月%排序。
7、按"近1年%"排序,可以查看基金最近一年的涨幅情况,查看近1年%排序。


图看指数中证全指 北证50 上证150 深证50 上证指数 中证A50 中证A500 科创50 上证380 中小100 中证1000 深证100 中小300 上证50 中证A100
友情链接查询网站域名  排名查询  站群软件  网址搜索  Sökmotor Android  一站式搜索平台  温泉开发规划  网页上传源码  香港搜尋引擎排名  搜全网 
财经名站雪球  赣州金融网  东方财富网  金投网  招商证券  中证指数  中财网  国家市场监督管理总局  平安证券  浙商证券