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006453中加瑞利纯债债券A1.12662025-03-250.040.14-0.23-0.151.291.734.296.9412.44-0.4317.99
债券型020708中加瑞利纯债债券D1.12332025-03-250.040.14-0.23-0.161.291.461.461.461.46-0.441.46
债券型007371国联安增瑞政策性金融债纯债A1.12312025-03-250.000.07-0.23-0.341.905.108.9111.8417.13-0.6923.61
债券型003213中银悦享定期开放债券发起式1.11162025-03-210.000.05-0.23-0.520.792.956.959.8016.51-0.6430.27
债券型004722中银丰和定开债券1.11142025-03-210.000.03-0.23-0.460.853.067.3810.1616.77-0.5633.27
债券型000197富国目标收益一年期纯债债券1.10502025-03-250.080.28-0.23-0.380.653.818.3111.1818.31-0.5269.91
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010477景顺长城景泰益利纯债债券A1.07982025-03-250.060.28-0.23-0.461.534.959.5412.4017.62-0.6317.62
债券型015257鹏华畅享债券C1.07462025-03-25-0.03-0.20-0.230.496.856.688.057.467.460.557.46
债券型008504国泰信用互利债券C1.06902025-03-250.05-0.48-0.231.575.285.676.879.5214.091.5114.70
债券型004080万家鑫丰纯债C1.06772025-03-250.120.62-0.230.173.655.128.5811.0216.55-0.7735.65
债券型014257国联恒泽纯债A1.06022025-03-250.010.16-0.23-1.030.342.195.808.078.56-1.238.56
债券型007670嘉实商业银行精选债券A1.05802025-03-250.100.49-0.23-0.470.664.108.4610.4414.46-0.9516.39
债券型007260国投瑞银顺祺纯债1.05632025-03-250.060.21-0.23-0.550.743.166.759.4515.81-0.8420.49
债券型013586天弘齐享债券发起C1.04952025-03-250.060.36-0.23-0.521.243.749.1911.7713.77-1.0013.77
债券型006069中加颐信纯债债券C1.04612025-03-250.070.32-0.23-0.660.533.057.009.4214.68-0.9825.30
债券型016296英大通佑一年定开债1.04142025-03-250.070.36-0.23-0.451.143.787.568.208.20-0.788.20
债券型018859惠升和安纯债C1.04032025-03-250.030.15-0.23-0.750.763.035.025.025.02-0.965.02
债券型015818财通资管睿盈债券A1.03922025-03-250.080.46-0.23-0.560.873.606.827.617.61-0.927.61
债券型015819财通资管睿盈债券C1.03602025-03-250.090.47-0.23-0.590.793.436.547.297.29-0.967.29
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009397大成安诚债券C1.03002025-03-250.040.23-0.23-0.530.863.487.309.6817.38-0.7817.38
债券型019809华泰柏瑞鸿瑞60天持有期债券A1.02712025-03-250.100.46-0.23-0.640.321.572.712.712.71-0.822.71
债券型470030汇添富鑫禧债1.02552025-03-250.070.33-0.23-0.580.652.375.718.550.00-0.8815.33
债券型020762汇添富丰泰纯债C1.02192025-03-250.050.20-0.23-0.390.202.182.192.192.19-0.462.19
债券型017047华泰柏瑞益享债券1.01902025-03-250.090.51-0.23-0.370.992.032.732.732.73-0.782.73
债券型009396大成安诚债券A1.01442025-03-250.040.22-0.23-0.530.863.487.339.8216.98-0.7816.98
债券型021696浙商汇金聚悦利率债A1.01422025-03-250.060.32-0.23-0.461.071.421.421.421.42-0.631.42
债券型014076华商鸿源三个月定开纯债债券1.01372025-03-250.050.24-0.23-0.680.532.165.067.347.34-0.857.34
债券型020330大成聚鑫债券C1.01292025-03-250.010.18-0.23-0.320.631.291.291.291.29-0.611.29
债券型008503国寿安保泰瑞纯债一年定开债1.01032025-03-210.000.22-0.23-0.051.033.429.5512.9722.87-0.2625.01
债券型018642金鹰添福纯债债券A1.00852025-03-250.050.32-0.23-0.350.993.675.985.985.98-0.695.98
债券型007156京管泰富京元一年定开债券发起1.00372025-03-210.000.23-0.23-0.240.592.615.816.416.41-0.386.41
混合型000689前海开源新经济混合A2.08342025-03-25-1.46-4.94-0.232.2918.046.13-25.52-30.46103.061.42128.97
债券型002336创金合信尊享纯债债券A1.05422025-03-250.040.33-0.24-0.880.462.596.158.4413.54-1.0634.32
债券型016032光大尊颐纯债一年债券发起1.03672025-03-250.100.50-0.24-0.630.743.829.579.969.96-0.899.96
债券型004723中银丰实定开债1.03402025-03-210.000.11-0.24-0.370.582.446.8910.0216.60-0.5536.78
债券型519743交银丰润收益债券A/B1.03262025-03-250.040.26-0.24-0.751.323.246.899.2915.38-1.0250.30
债券型019810华泰柏瑞鸿瑞60天持有期债券C1.02392025-03-250.100.45-0.24-0.740.181.332.392.392.39-0.872.39
债券型005731财通睿智6个月定开债1.02232025-03-250.090.45-0.24-0.550.833.487.479.9616.19-0.9328.24
债券型018535银河景泰债券C1.02182025-03-250.050.25-0.24-0.521.133.255.125.125.12-0.835.12
债券型019063兴证全球恒荣债券A1.01982025-03-250.020.15-0.24-0.450.913.184.534.534.53-0.774.53
债券型018643金鹰添福纯债债券C1.00862025-03-250.050.31-0.24-0.450.803.465.685.685.68-0.785.68
债券型020527大成惠嘉一年定开债券C1.00032025-03-250.000.01-0.24-1.29-0.670.350.690.690.69-1.310.69
债券型010652平安双季增享6个月持有债券C0.94892025-03-25-0.02-0.21-0.24-0.051.390.59-0.35-7.01-5.110.04-5.11
混合型010028华泰柏瑞创新升级混合C2.06802025-03-25-0.10-1.29-0.240.5313.25-0.53-25.23-27.26-23.581.27-23.58
混合型019034易方达高端制造混合发起式C1.69212025-03-25-0.37-1.96-0.240.838.498.7712.6412.6412.641.8112.64
混合型002923兴业聚惠混合C1.66282025-03-250.020.13-0.240.072.024.295.314.4323.52-0.2051.16
混合型952009国泰君安君得鑫两年持有混合A1.51812025-03-25-0.37-2.38-0.240.3917.657.23-8.61-10.59-5.851.12-11.28
混合型016519华安新回报混合C1.51362025-03-250.030.10-0.24-0.430.741.041.041.041.04-0.481.04
混合型014725广发成长动力三年持有混合A0.48912025-03-25-0.22-2.74-0.24-4.606.65-10.27-40.53-51.09-51.09-1.39-51.09
股票型011319国泰上证综合ETF联接A1.16852025-03-26-0.03-1.65-0.240.3311.6014.5412.8020.5416.851.5316.85
股票型016103申万菱信沪深300优选指数增强发起0.98312025-03-26-0.27-1.68-0.24-1.166.7010.00-3.41-1.69-1.69-0.18-1.69
股票型012854英大中证ESG120策略指数A0.98392025-03-26-0.53-2.25-0.24-0.989.0212.382.83-0.41-1.610.33-1.61
指数型011319国泰上证综合ETF联接A1.16852025-03-26-0.03-1.65-0.240.3311.6014.5412.8020.5416.851.5316.85
混合型022985诺安鼎利混合D1.29402025-03-250.00-0.34-0.24-0.24-0.24-0.24-0.24-0.24-0.24-0.24-0.24
混合型010291华泰柏瑞研究精选C1.20212025-03-25-0.09-1.32-0.240.6913.581.38-23.54-24.76-20.981.43-20.98
混合型017957汇添富稳健鑫添益六个月持有混合C1.10472025-03-250.05-0.64-0.241.334.356.615.624.974.971.194.97
混合型011807平安研究精选混合A1.08132025-03-25-0.83-3.16-0.2416.9037.3621.489.35-0.968.1318.638.13
混合型016834东方红共赢甄选一年持有混合A1.04982025-03-250.05-0.59-0.241.336.505.955.044.984.981.464.98
混合型021428国泰优质精选混合C1.03512025-03-25-0.88-3.20-0.244.563.513.513.513.513.515.303.51
混合型001219摩根动态多因子混合A1.01982025-03-25-0.03-3.35-0.247.6230.4616.716.322.9428.609.261.98
混合型018160国泰创新医疗混合发起C0.83522025-03-25-0.22-3.78-0.249.2121.271.97-16.48-16.48-16.4810.03-16.48
混合型011011融通产业趋势精选混合A0.69842025-03-25-0.87-4.11-0.240.729.198.36-0.54-10.44-30.161.33-30.16
指数型016103申万菱信沪深300优选指数增强发起0.98312025-03-26-0.27-1.68-0.24-1.166.7010.00-3.41-1.69-1.69-0.18-1.69
指数型012854英大中证ESG120策略指数A0.98392025-03-26-0.53-2.25-0.24-0.989.0212.382.83-0.41-1.610.33-1.61
债券型372110摩根强化回报债券B1.53292025-03-25-0.07-0.42-0.240.083.003.812.224.5911.430.0260.48
债券型003309兴业启元一年定开债A1.39012025-03-210.000.04-0.240.354.674.8810.0112.9322.90-0.0539.01
债券型020710同泰恒利纯债D1.24482025-03-250.020.28-0.24-0.480.663.123.313.313.31-0.703.31
债券型002507兴业定开债C1.24302025-03-210.000.00-0.240.083.074.899.7112.3921.01-0.2442.63
债券型002901财通资管积极收益债券A1.22862025-03-250.300.96-0.24-0.964.792.971.674.5411.50-1.0733.93
债券型004941中加聚鑫纯债一年定开C1.22382025-03-210.000.24-0.24-0.080.843.389.0812.3420.92-0.5537.47
债券型000213泰信鑫益定期开放C1.21772025-03-210.000.08-0.24-0.170.411.816.5011.1620.04-0.3761.04
债券型519023海富通稳健添利债券C1.15752025-03-250.100.43-0.24-0.281.183.127.739.9216.37-0.6572.05
债券型007372国联安增瑞政策性金融债纯债C1.13152025-03-250.000.07-0.24-0.341.895.048.7311.5916.67-0.6937.92
债券型008728同泰恒利纯债A1.10462025-03-250.030.28-0.24-0.520.613.09128.59133.47147.09-0.73147.66
债券型013952工银瑞和3个月定开债券A1.09112025-03-250.040.17-0.24-0.662.124.938.8910.9111.54-1.0911.54
债券型166008中欧增强回报债券(LOF)A1.09082025-03-250.13-0.27-0.241.294.226.5310.8211.013.520.9880.97
债券型001889中欧增强回报债券(LOF)E1.08602025-03-250.13-0.27-0.241.304.286.6010.8811.073.560.9929.91
债券型016760东吴添利三个月定开债券C1.08342025-03-250.060.37-0.240.843.045.5210.2910.3910.39-0.1410.39
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010475摩根安享回报一年持有期债券A1.07002025-03-25-0.08-0.47-0.240.294.545.372.795.607.000.227.00
债券型017926景顺长城政策性金融债C1.06302025-03-250.070.29-0.24-0.501.394.428.118.158.15-0.758.15
债券型018622创金合信尊享纯债债券C1.06022025-03-250.040.33-0.24-0.890.452.735.715.715.71-1.065.71
指数型000478建信中证500指数增强A2.65632025-03-26-0.05-1.62-0.251.3215.6810.87-5.29-5.4334.613.03165.63
指数型007386浙商中证500增强C1.53082025-03-26-0.07-1.67-0.252.2118.5714.42-0.76-3.5155.734.2956.27
指数型023252天弘上证180ETF发起联接A0.99962025-03-26-0.19-0.96-0.25-0.04-0.04-0.04-0.04-0.04-0.04-0.04-0.04
指数型012855英大中证ESG120策略指数C1.02292025-03-26-0.53-2.25-0.25-0.999.1812.512.870.382.290.322.29
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000244天弘稳利定期开放A1.34232025-03-210.000.23-0.250.061.184.3511.6514.3018.53-0.3384.02
债券型006466浦银安盛双债增强债券A1.23882025-03-250.09-0.36-0.251.114.535.034.956.9517.041.0823.88
债券型008729同泰恒利纯债C1.20172025-03-250.020.28-0.25-0.570.522.88131.25135.70148.42-0.78148.94
债券型006162财通资管积极收益债券E1.19612025-03-250.310.97-0.25-0.984.752.871.474.2410.96-1.0920.79
债券型003683博时安弘一年定开债发起式C1.13882025-03-250.110.47-0.25-0.630.592.417.0410.1711.67-0.7729.95
债券型005964中欧安财定开债发起式1.12012025-03-250.090.00-0.250.793.005.279.6012.1919.280.5937.29
债券型006183南方泽元债券A1.11322025-03-250.040.29-0.25-0.880.552.917.1910.5215.23-1.0525.97
债券型006454中加瑞利纯债债券C1.11282025-03-250.040.14-0.25-0.211.191.513.736.1211.23-0.4816.24
债券型014258国联恒泽纯债C1.10642025-03-250.010.15-0.25-1.100.201.8810.7112.8313.23-1.2913.23
债券型015244东兴连裕6个月滚动持有债C1.10072025-03-250.140.77-0.25-0.060.942.346.6610.0710.07-0.4810.07
债券型006043永赢惠益债券A1.09832025-03-250.040.21-0.25-0.961.104.969.9813.1118.29-1.1829.67
债券型006731方正富邦富利纯债A1.09682025-03-250.040.27-0.25-0.910.953.019.1311.7814.31-1.2323.66
债券型006192华夏鼎通债券C1.09662025-03-250.050.25-0.25-0.671.174.438.6311.1516.84-1.0026.22
债券型005234广发汇吉3个月定开债1.09642025-03-250.100.43-0.25-0.380.904.058.0610.5815.64-0.7528.82
债券型013821南方定利一年定开债券1.06952025-03-250.050.31-0.25-0.590.562.836.499.2710.09-0.7810.09
债券型008859人保安和定开1.06502025-03-210.000.22-0.25-0.500.652.356.036.506.50-0.756.50
债券型013543英大安惠纯债E1.06352025-03-250.060.32-0.25-0.570.361.894.787.258.64-0.778.64
债券型009298英大安惠纯债A1.06352025-03-250.060.32-0.25-0.570.361.894.787.2512.60-0.7712.60
债券型010758国投瑞银顺景一年定开债1.05832025-03-250.040.27-0.25-0.461.083.527.6310.1512.18-0.8412.18
债券型013585天弘齐享债券发起A1.05812025-03-250.070.37-0.25-0.531.273.819.5912.5014.69-1.0014.69
债券型519745交银丰润收益债券C1.05802025-03-250.040.27-0.25-0.731.333.256.898.8714.03-1.0140.20
股票型023414工银创业板50指数A0.99752025-03-210.00-0.25-0.25-0.25-0.25-0.25-0.25-0.25-0.25-0.25-0.25
股票型023414工银创业板50指数A0.99752025-03-210.00-0.25-0.25-0.25-0.25-0.25-0.25-0.25-0.25-0.25-0.25
股票型000478建信中证500指数增强A2.65632025-03-26-0.05-1.62-0.251.3215.6810.87-5.29-5.4334.613.03165.63
股票型007386浙商中证500增强C1.53082025-03-26-0.07-1.67-0.252.2118.5714.42-0.76-3.5155.734.2956.27
股票型023252天弘上证180ETF发起联接A0.99962025-03-26-0.19-0.96-0.25-0.04-0.04-0.04-0.04-0.04-0.04-0.04-0.04
股票型012855英大中证ESG120策略指数C1.02292025-03-26-0.53-2.25-0.25-0.999.1812.512.870.382.290.322.29
指数型023414工银创业板50指数A0.99752025-03-210.00-0.25-0.25-0.25-0.25-0.25-0.25-0.25-0.25-0.25-0.25
指数型023414工银创业板50指数A0.99752025-03-210.00-0.25-0.25-0.25-0.25-0.25-0.25-0.25-0.25-0.25-0.25
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
债券型000240华安年年盈定开债C1.03892025-03-210.000.11-0.25-0.100.502.544.204.2011.75-0.2540.82
债券型015957财通资管双安债券A1.03592025-03-250.090.02-0.250.142.273.395.556.106.100.126.10
债券型013982嘉合磐立一年定开纯债债券发起式1.03502025-03-210.000.05-0.250.052.163.647.9411.2611.56-0.2711.56
债券型004230永赢添益债券1.02602025-03-250.040.27-0.25-0.951.363.728.3910.4318.29-1.2340.72
债券型008111银华信用精选18个月定开债1.01822025-03-210.000.19-0.25-0.420.762.838.2311.5110.82-0.6411.14
债券型019064兴证全球恒荣债券C1.01502025-03-250.030.16-0.25-0.550.572.764.054.054.05-0.874.05
债券型021697浙商汇金聚悦利率债C1.01282025-03-250.050.30-0.25-0.500.951.281.281.281.28-0.681.28
债券型021131大成稳康6个月持有期债券A1.00942025-03-250.030.18-0.25-0.410.940.940.940.940.94-0.630.94
债券型022297大成稳康6个月持有期债券E1.00892025-03-250.040.18-0.25-0.430.630.630.630.630.63-0.650.63
混合型540003汇丰晋信动态策略混合A3.46622025-03-25-0.42-4.14-0.256.4436.8514.86-22.15-22.0573.7511.00417.11
混合型960003汇丰晋信动态策略混合H2.20502025-03-25-0.42-4.14-0.256.4336.9014.73-22.32-22.2673.0411.00120.50
混合型000065国富焦点驱动混合A2.07752025-03-250.01-0.21-0.250.012.043.776.336.9135.91-0.31147.79
混合型002179华安事件驱动量化混合A1.98102025-03-25-0.20-1.88-0.258.9135.6828.6412.9421.98110.5210.5598.10
混合型006845中信建投聚利混合C1.19882025-03-250.080.44-0.25-0.630.814.363.612.1615.76-0.9624.93
混合型011232光大保德信锦弘混合C1.12892025-03-250.04-0.48-0.252.6413.8812.3211.4512.1312.893.2112.89
混合型009606长信稳健精选混合A1.12362025-03-250.07-0.18-0.25-1.716.378.421.703.4712.36-1.8612.36
混合型018212兴银稳惠180天持有期混合A1.11492025-03-25-0.08-0.88-0.252.9511.8811.0711.4911.4911.492.9411.49
混合型018213兴银稳惠180天持有期混合C1.11272025-03-25-0.09-0.88-0.252.9111.8310.9611.2711.2711.272.9111.27
混合型001914中信建投聚利混合A1.08212025-03-250.080.44-0.25-0.620.824.373.722.6917.29-0.9518.19
混合型007233金鹰鑫益混合E1.06182025-03-250.12-0.52-0.251.274.135.444.465.4821.991.2327.17
混合型015554融通价值成长混合C1.01362025-03-25-0.45-3.59-0.25-0.4325.732.32-8.961.361.361.391.36
混合型003845汇安丰恒灵活配置混合A0.93172025-03-250.130.05-0.25-0.202.805.15-4.41-3.822.72-0.26-6.83
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014893永赢添添欣12个月持有混合C1.09302025-03-250.02-0.13-0.26-0.291.693.455.9610.049.30-0.419.30
混合型016835东方红共赢甄选一年持有混合C1.04342025-03-250.05-0.59-0.261.256.355.644.424.344.341.384.34
混合型020099万家惠诚回报平衡一年持有期混合C1.01192025-03-250.11-0.48-0.260.282.011.931.941.941.940.241.94
混合型009415中邮瑞享两年定开混合A1.00652025-03-210.00-1.12-0.262.198.716.38-4.440.020.653.240.65
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
混合型011044中银顺泽回报一年持有期混合A0.91262025-03-25-0.37-1.20-0.26-0.440.901.341.00-3.16-8.74-0.65-8.74


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