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%
股票型021765长盛北证50成份指数增强A1.07212025-03-26-0.03-2.13-0.1512.397.217.217.217.217.2115.837.21
股票型014126华夏中证1000指数增强C0.99512025-03-26-0.04-1.48-0.155.5630.9319.035.4810.92-0.498.17-0.49
股票型022805中加中证A500指数增强发起式C1.01472025-03-26-0.14-1.84-0.151.471.471.471.471.471.471.471.47
股票型017513广发北证50成份指数C1.55982025-03-26-0.15-3.98-0.1520.71116.4373.1055.5355.9855.9828.6155.98
股票型010355诺安中证500指数增强C0.85522025-03-26-0.19-1.45-0.151.2113.715.11-13.36-11.61-8.733.61-8.73
股票型019210浦银安盛沪深300指数增强C1.11922025-03-26-0.26-1.91-0.15-0.787.879.335.785.785.780.135.78
指数型021365华夏中证全指可选消费ETF发起式联1.17712025-03-260.29-2.35-0.152.9816.9317.7117.7117.7117.714.0917.71
指数型021949南方深证主板50ETF联接A1.01342025-03-260.00-2.28-0.150.791.341.341.341.341.342.061.34
指数型021765长盛北证50成份指数增强A1.07212025-03-26-0.03-2.13-0.1512.397.217.217.217.217.2115.837.21
指数型014126华夏中证1000指数增强C0.99512025-03-26-0.04-1.48-0.155.5630.9319.035.4810.92-0.498.17-0.49
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017106光大荣利纯债债券C1.05262025-03-250.040.21-0.15-0.950.282.185.425.365.36-1.165.36
债券型019302鹏华产业债债券C1.05092025-03-250.12-0.40-0.151.155.306.156.796.796.791.056.79
债券型003927国联恒信纯债C1.04792025-03-250.040.18-0.15-0.500.612.536.309.0715.82-0.7033.22
债券型022260鹏华丰利债券(LOF)E1.04712025-03-250.20-0.44-0.151.474.714.714.714.714.711.364.71
债券型003313中银睿享定开债券1.04492025-03-210.000.03-0.15-0.490.913.357.5010.1116.22-0.5734.05
债券型004821国寿安保安吉纯债半年定开债1.04222025-03-210.00-0.05-0.150.032.124.0711.0915.2722.54-0.1842.57
债券型519941长信富全纯债一年定开债A1.04122025-03-210.000.08-0.15-0.210.652.336.137.8310.96-0.2830.57
债券型005783创金合信汇益纯债一年定开债C1.03932025-03-210.000.12-0.15-0.081.113.197.239.8114.68-0.1530.83
债券型017310创金合信利泽纯债债券C1.03842025-03-250.040.23-0.15-0.910.563.266.677.257.25-1.067.25
债券型016415万家鑫耀纯债C1.03772025-03-250.000.11-0.15-0.471.243.768.539.139.13-0.779.13
债券型015830平安惠复纯债A1.03182025-03-250.010.18-0.15-0.830.783.0529.0629.7429.74-1.1229.74
债券型020941安信青享纯债A1.03092025-03-250.020.11-0.15-0.371.293.093.093.093.09-0.773.09
债券型018929蜂巢丰旭债券C1.02922025-03-250.030.20-0.15-0.361.132.922.922.922.92-0.542.92
债券型020675招商中债0-3年政策性金融债C1.02862025-03-250.010.08-0.15-0.580.582.742.852.852.85-0.702.85
债券型023403前海开源鼎裕债券D1.02732025-03-250.09-0.12-0.15-0.22-0.22-0.22-0.22-0.22-0.22-0.22-0.22
债券型003255前海开源鼎裕债券C1.02732025-03-250.09-0.12-0.151.475.652.39-14.11-13.68-16.131.4665.92
债券型020887交银中债0-3年政金债指数C1.02682025-03-250.010.13-0.15-0.261.152.682.682.682.68-0.492.68
债券型022806博时富益纯债债券C1.02592025-03-250.060.21-0.15-0.74-0.84-0.84-0.84-0.84-0.84-0.99-0.84
债券型016925华夏鼎辉债券A1.02522025-03-250.050.22-0.15-0.361.214.028.219.119.11-0.659.11
债券型019400国泰君安安睿纯债债券A1.02472025-03-250.030.19-0.15-0.491.264.386.046.046.04-0.706.04
债券型009053平安合庆定开债1.02142025-03-250.040.25-0.15-0.620.262.868.1910.1220.81-0.7420.81
债券型018924南方金添利三年定开债券A1.01572025-03-210.000.27-0.15-0.011.552.893.183.183.18-0.203.18
债券型006582博时富永3个月定开债1.01312025-03-210.000.09-0.15-0.430.371.955.318.4614.34-0.6020.94
债券型015483汇安裕泰纯债债券C1.01152025-03-250.00-0.02-0.15-0.33-0.030.682.933.163.16-0.343.16
债券型014993广发景宏债券A1.01132025-03-250.030.16-0.15-0.840.412.466.148.238.23-0.918.23
债券型020612东吴恒益纯债债券C1.01082025-03-250.030.20-0.15-0.360.771.081.081.081.08-0.481.08
债券型021017广发景宏债券C1.01072025-03-250.030.16-0.15-0.870.362.392.412.412.41-0.952.41
债券型020702南华瑞享纯债C1.01052025-03-250.050.33-0.15-0.640.642.792.882.882.88-0.892.88
债券型011796新华中债0-3年政策性金融债指数A1.00982025-03-250.020.20-0.15-0.660.540.980.980.980.98-0.770.98
债券型011797新华中债0-3年政策性金融债指数C1.00942025-03-250.030.20-0.15-0.680.520.940.940.940.94-0.790.94
债券型016661华商鸿丰纯债1.00852025-03-250.050.30-0.15-0.490.482.395.696.046.04-0.706.04
债券型020655浦银安盛普安利率债债券1.00222025-03-250.030.21-0.15-0.321.403.423.733.733.73-0.633.73
债券型023276中银淳利三个月持有债券C0.99852025-03-210.00-0.10-0.15-0.15-0.15-0.15-0.15-0.15-0.15-0.15-0.15
债券型164509国富恒利债券(LOF)A0.71132025-03-250.040.23-0.15-0.141.254.037.7910.1416.71-0.4899.05
混合型010433广发新兴产业混合C1.93302025-03-25-0.51-4.45-0.155.3420.899.02-20.02-20.03-18.496.62-18.49
混合型010167中银多策略混合C1.36802025-03-250.150.22-0.15-0.580.663.324.993.322.93-0.732.93
混合型014579华泰柏瑞恒泽混合A1.08172025-03-25-0.06-0.29-0.15-0.232.063.104.778.178.17-0.078.17
混合型011353国联景盛一年持有混合A1.05932025-03-250.190.05-0.150.353.375.266.929.195.930.165.93
混合型011051天弘裕新混合C1.04282025-03-250.12-0.18-0.150.093.356.191.745.114.28-0.084.28
混合型014578华泰柏瑞恒悦混合C1.03412024-12-18-0.06-0.03-0.153.030.521.04-0.023.413.410.843.41
混合型017465长江楚财一年持有期混合发起C0.99932025-03-250.01-0.28-0.150.463.060.03-0.07-0.07-0.070.88-0.07
混合型014355东方欣冉九个月持有期混合C0.92142025-03-250.14-0.45-0.15-1.071.32-0.80-6.01-7.86-7.86-0.72-7.86
混合型001688嘉实新起点混合A1.22062025-03-250.070.17-0.16-0.031.202.863.545.9533.84-0.2350.17
混合型022700睿远港股通核心价值混合A1.15332025-03-25-2.550.00-0.1615.3315.3315.3315.3315.3315.3316.7015.33
混合型012684东方红安盈甄选一年持有混合C1.08022025-03-25-0.11-0.41-0.160.605.878.509.949.908.020.488.02
混合型018494西部利得汇鑫6个月持有期混合C1.07762025-03-25-0.37-1.29-0.163.239.0910.077.767.767.763.437.76
混合型014580华泰柏瑞恒泽混合C1.07592025-03-25-0.06-0.29-0.16-0.271.962.914.377.597.59-0.117.59
混合型014731华富荣盛一年持有期混合C1.05382025-03-250.20-0.19-0.160.763.263.775.885.885.880.725.88
混合型011434中加聚优一年定开混合C1.02962024-09-130.00-0.04-0.16-0.80-0.44-0.23-0.082.462.960.462.96
混合型012252安信宏盈18个月持有混合1.02412025-03-25-0.20-0.73-0.160.291.643.452.694.842.41-0.052.41
混合型019719摩根悦享回报6个月持有期混合C1.00592025-03-25-0.03-0.16-0.16-0.080.360.590.590.590.59-0.290.59
混合型020497安信均衡增长混合A0.99842025-03-210.00-0.23-0.16-0.16-0.16-0.16-0.16-0.16-0.16-0.16-0.16
混合型013766平安恒泰1年持有混合C0.92422025-03-25-0.01-0.18-0.16-0.401.47-0.67-2.22-7.25-7.58-0.48-7.58
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021987国泰君安创新医药混合发起C0.81112025-03-250.14-2.73-0.16-0.1510.908.138.138.138.131.008.13
混合型005143国联沪港深大消费主题C0.76552025-03-25-2.90-6.20-0.1622.0138.8545.780.7610.351.7422.74-23.45
混合型012483前海开源优质龙头6个月持有混合A0.69382025-03-25-0.76-3.49-0.16-0.6710.904.79-15.04-16.63-30.620.70-30.62
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
混合型015694瑞达策略优选混合发起A0.68042025-03-25-2.03-5.13-0.1611.0027.345.67-18.54-31.96-31.9612.78-31.96
债券型005989兴业纯债6个月定开债C1.05312025-03-250.050.24-0.16-0.261.504.548.6611.3818.26-0.5828.55
债券型012016国投瑞银顺成3个月定开债1.05282025-03-250.030.12-0.16-0.830.613.046.869.4513.37-1.0713.37
债券型016929万家鑫怡债券C1.05042025-03-250.000.11-0.16-0.511.163.406.557.077.07-0.777.07
债券型013251中信建投稳硕债券A1.04922025-03-250.110.51-0.16-0.310.913.698.4811.5613.23-0.7113.23
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005828长江乐越定开债1.04252025-03-210.000.17-0.16-0.070.833.5510.3514.6523.64-0.2036.78
债券型012205中银通利债券C1.04232025-03-25-0.06-0.81-0.162.083.585.557.097.464.232.134.23
债券型003819广发景华纯债A1.04162025-03-250.110.40-0.16-0.050.643.297.4610.2017.07-0.4141.43
债券型519940长信富全纯债一年定开债C1.04032025-03-210.000.08-0.16-0.280.502.035.626.889.11-0.3426.25
债券型015935广发景华纯债C1.04022025-03-250.110.41-0.16-0.060.593.177.018.218.21-0.418.21
债券型015834汇添富鑫和纯债A1.03722025-03-250.030.15-0.16-0.550.773.207.058.418.41-0.798.41
债券型006464浦银安盛普益纯债A1.03662025-03-250.030.20-0.16-0.351.353.807.7010.2915.83-0.6823.20
债券型016613长盛盛远债券C1.03062025-03-250.010.19-0.16-0.710.482.966.006.416.41-0.966.41
债券型020942安信青享纯债C1.02952025-03-250.020.11-0.16-0.401.232.952.952.952.95-0.792.95
债券型004464万家玖盛A1.02472025-03-250.030.26-0.16-1.090.923.437.6410.0619.29-1.0836.45
债券型022738国泰君安安睿纯债债券C1.02432025-03-250.030.19-0.16-0.52-0.13-0.13-0.13-0.13-0.13-0.72-0.13
债券型022183万家玖盛D1.02412025-03-250.030.26-0.16-1.090.921.091.091.091.09-1.071.09
债券型020471长城0-5年政金债A1.02282025-03-250.030.21-0.16-0.640.702.182.282.282.28-0.822.28
债券型020472长城0-5年政金债C1.02072025-03-250.030.21-0.16-0.660.541.982.072.072.07-0.842.07
债券型016795华安沣裕债券C1.02032025-03-250.070.01-0.16-0.210.941.781.792.032.03-0.352.03
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
债券型019262中信保诚嘉盛三个月定开债券A1.01822025-03-250.110.48-0.16-0.280.802.463.863.863.86-0.653.86
债券型019263中信保诚嘉盛三个月定开债券C1.01692025-03-250.110.48-0.16-0.310.762.373.733.733.73-0.673.73
债券型014965国投瑞银顺和一年定开债发起式1.01632025-03-250.050.28-0.16-0.570.833.236.958.458.45-0.908.45
债券型014502泰信汇盈债券A1.01482025-03-250.060.39-0.16-0.251.082.695.788.528.54-0.498.54
债券型022409鑫元睿鑫添益债券C1.01392025-03-25-0.19-0.61-0.161.161.391.391.391.391.391.081.39
债券型519187万家稳健增利债券C1.00642025-03-250.140.64-0.16-0.370.67-1.120.821.806.98-0.5989.51
债券型023040中欧多利债券A0.99852025-03-25-0.030.00-0.16-0.15-0.15-0.15-0.15-0.15-0.15-0.15-0.15
混合型005764中欧潜力价值灵活配置混合C1.81542025-03-25-0.53-2.60-0.163.5720.537.65-6.01-0.4248.085.1143.27
混合型005679财通资管鑫盛6个月定开1.45492025-03-210.00-0.24-0.160.371.932.954.569.2025.580.3145.49
债券型865040光大阳光北斗星180天滚动A1.71552025-03-14-0.05-0.05-0.16-0.035.303.593.528.432.660.272.66
债券型860051光大阳光北斗星180天滚动C1.69572025-03-14-0.05-0.05-0.16-0.095.153.302.917.471.590.221.59
债券型022231金信民富债券E1.40262025-03-250.020.08-0.160.141.391.451.451.451.45-0.161.45
债券型233005大摩强收益债券1.33262025-03-250.110.02-0.160.011.353.493.935.3317.36-0.34129.64
债券型000668国寿安保尊享债券A1.28192025-03-250.09-0.14-0.161.004.777.4311.4014.9321.250.6777.30
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855001海通海升六个月持有债券C1.22982025-03-250.090.02-0.160.492.302.875.848.3110.900.3810.90
债券型180015银华增强收益债券A1.22902025-03-250.16-0.73-0.161.798.949.726.428.5620.721.79127.80
债券型270044广发双债添利债券A1.22292025-03-250.090.38-0.16-0.310.603.769.8915.0719.12-0.6373.98
债券型009267广发双债添利债券E1.21932025-03-250.090.38-0.16-0.330.533.629.6114.6517.11-0.6517.11
债券型008302永赢易弘债券A1.19302025-03-250.09-0.07-0.160.322.964.378.4311.5719.290.0319.30
债券型000998南方双元C1.18592025-03-250.05-0.24-0.160.413.043.215.13-6.105.410.1921.60
债券型022360永赢易弘债券B1.17722025-03-250.09-0.07-0.16-0.320.820.820.820.820.82-0.520.82
债券型009600嘉实安泽一年定开债纯债1.15862025-03-250.070.38-0.16-0.311.143.989.4511.9118.94-0.8018.94
债券型006716东方永泰纯债1年C1.15262025-03-210.000.14-0.16-0.160.833.0110.2510.6912.68-0.2719.31
债券型008668西部利得双盈一年定开债券1.14892025-03-250.080.37-0.16-0.290.493.168.1511.8919.14-0.4719.14
债券型021408兴业天融债券C1.12572025-03-250.040.24-0.16-0.590.972.942.942.942.94-0.842.94
债券型015302博时双季乐六个月持有期债券C1.11622025-03-250.070.44-0.16-0.141.243.128.6511.6211.62-0.5011.62
债券型110037易方达纯债债券A1.10702025-03-250.070.34-0.16-0.280.512.797.339.9816.05-0.5571.85
债券型020084易方达纯债债券D1.10702025-03-250.070.33-0.16-0.280.542.202.202.202.20-0.552.20
债券型253060国联安信心增长债券A1.10212025-03-250.44-1.00-0.162.023.390.642.833.8712.162.1249.54
债券型015831平安惠复纯债C1.09772025-03-250.010.18-0.16-0.840.763.0328.6829.0229.02-1.1329.02
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007447平安惠泰纯债A1.07942025-03-250.010.07-0.16-0.440.713.848.7312.1719.12-0.6524.48
债券型022659平安惠泰纯债C1.07912025-03-250.010.07-0.16-0.47-0.57-0.57-0.57-0.57-0.57-0.68-0.57
债券型018496恒生前海恒润纯债A1.07792025-03-250.030.25-0.16-0.111.163.237.797.797.79-0.317.79
债券型017700广发景泰债券C1.07332025-03-250.030.15-0.16-0.660.933.557.337.337.33-0.857.33
债券型017309创金合信利泽纯债债券A1.07242025-03-250.040.22-0.16-0.830.753.507.117.767.76-0.997.76
债券型007963博时中债3-5政金融债指数C1.06452025-03-250.040.22-0.16-0.870.904.429.0211.4316.89-1.0919.84
债券型018068国金中债1-5年政策性金融债C1.06272025-03-250.020.19-0.16-0.870.663.716.276.276.27-1.056.27
债券型261002景顺长城优信增利债券A1.06142025-03-250.050.22-0.16-0.231.194.056.949.3114.63-0.4571.94
债券型008414国泰惠泰一年定期开放债券1.06092025-03-210.000.02-0.16-0.540.993.488.0910.5616.33-0.7016.33
债券型015423浦银安盛普裕一年定开债券1.05882025-03-250.040.22-0.16-0.241.533.977.859.889.88-0.599.88
债券型003963博时慧选纯债定开债1.05802025-03-210.000.10-0.16-0.161.123.187.069.4714.97-0.3832.87
债券型009295民生睿智一年定开债1.05652025-03-250.090.34-0.16-0.530.552.647.7210.2112.05-0.6712.05
股票型022857华夏上证综合全收益指数增强A0.99842025-03-210.00-0.24-0.16-0.16-0.16-0.16-0.16-0.16-0.16-0.16-0.16
股票型016942工银中证1000指数增强A1.05462025-03-260.34-2.11-0.168.7833.6022.845.465.465.4610.875.46
股票型009004海富通中证500增强C1.74062025-03-260.10-1.21-0.162.8619.4212.52-7.41-10.3331.464.7814.46
股票型022857华夏上证综合全收益指数增强A0.99842025-03-210.00-0.24-0.16-0.16-0.16-0.16-0.16-0.16-0.16-0.16-0.16
股票型020659诺安低碳经济股票D1.85302025-03-26-0.11-1.91-0.163.1715.7623.3623.3623.3623.364.6323.36
股票型001208诺安低碳经济股票A1.85302025-03-26-0.16-1.96-0.163.1215.6916.063.1925.58107.714.57156.31
指数型022857华夏上证综合全收益指数增强A0.99842025-03-210.00-0.24-0.16-0.16-0.16-0.16-0.16-0.16-0.16-0.16-0.16
指数型016942工银中证1000指数增强A1.05462025-03-260.34-2.11-0.168.7833.6022.845.465.465.4610.875.46
指数型009004海富通中证500增强C1.74062025-03-260.10-1.21-0.162.8619.4212.52-7.41-10.3331.464.7814.46
指数型022857华夏上证综合全收益指数增强A0.99842025-03-210.00-0.24-0.16-0.16-0.16-0.16-0.16-0.16-0.16-0.16-0.16
混合型050008博时第三产业混合0.61502025-03-25-1.13-2.84-0.160.826.22-3.00-19.50-27.48-21.951.327.81
混合型960011中银持续增长混合H0.28872025-03-25-0.38-2.37-0.17-1.1615.026.14-14.96-44.03-28.68-0.45-69.17
指数型023326路博迈中证A500指数增强C0.99832025-03-21-0.17-0.17-0.17-0.17-0.17-0.17-0.17-0.17-0.17-0.17-0.17
指数型023325路博迈中证A500指数增强A0.99832025-03-21-0.17-0.17-0.17-0.17-0.17-0.17-0.17-0.17-0.17-0.17-0.17


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。


图看指数北证50 上证150 中证A500 上证100 深证100 新指数 深证300 成份B指 中小300 深主板50 上证综合全收益 企债指数 深证综指 央视50 上证50
友情链接广州南沙月饼厂  검색 엔진  百度关键词优化  涨啦网  贵阳用友政务  搜索引擎平台  查搜  谷歌排名优化  搜站网  サーチエンジンツール 
财经名站中证网  中国上市公司协会  东方证券  证券时报  凤凰网财经  全国中小企业股份转让系统  中国期货业协会  中国上市公司协会  中原证券  中国证券投资基金业协会