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011144华安汇宏精选混合A1.09652025-03-25-2.64-7.05-8.215.0042.9433.4115.3222.389.656.369.65
混合型018268建信锋睿优选混合A1.07142024-10-11-2.64-1.4116.527.997.047.147.147.147.147.097.14
混合型006449浙商汇金量化精选混合0.99492025-03-25-2.64-7.29-11.58-0.2916.320.00-29.41-36.31-24.471.93-0.51
混合型005197工银沪港深精选混合A0.77732025-03-25-2.64-5.83-0.6911.9221.3630.9011.192.25-11.6711.65-22.27
混合型010557汇添富数字生活六个月持有混合0.67612025-03-25-2.64-6.42-5.104.5020.1717.66-6.28-11.33-32.395.91-32.39
混合型005668融通新能源汽车主题精选混合A2.08072025-03-25-2.64-7.07-6.520.7817.6914.57-8.65-22.8669.452.67108.07
混合型009835融通新能源汽车主题精选混合C2.03332025-03-25-2.64-7.08-6.560.6617.3913.99-9.57-24.029.912.569.91
混合型013021建信兴润一年持有混合0.63212025-03-25-2.65-6.73-6.851.4812.670.70-18.39-28.16-36.792.50-36.79
混合型015286国投瑞银产业转型一年持有混合C0.57662025-03-25-2.65-5.52-4.004.3123.47-2.45-31.71-42.34-42.345.86-42.34
混合型010596广发成长精选混合C0.50612025-03-25-2.65-5.72-4.997.2733.1124.72-12.10-30.43-49.397.38-49.39
混合型012613创金合信产业智选混合A0.45142025-03-25-2.65-6.37-8.14-0.771.58-10.68-33.86-44.47-54.861.44-54.86
混合型012614创金合信产业智选混合C0.44162025-03-25-2.65-6.38-8.17-0.901.28-11.22-34.65-45.46-55.841.31-55.84
混合型008180同泰慧利混合A1.12202025-03-25-2.65-7.73-10.62-0.3623.5017.06-1.29-2.8330.933.8130.93
混合型008181同泰慧利混合C1.09882025-03-25-2.65-7.73-10.65-0.4623.2716.60-2.08-3.9828.503.7128.50
混合型011145华安汇宏精选混合C1.07042025-03-25-2.65-7.07-8.254.8242.5132.5913.9320.187.046.197.04
混合型019310中航恒宇港股通价值优选混合发起C1.05812025-03-25-2.65-7.14-3.123.0018.6919.785.815.815.813.375.81
混合型019309中航恒宇港股通价值优选混合发起A1.02242025-03-25-2.65-7.13-3.083.1414.0315.402.242.242.243.502.24
混合型009789富安达科技创新混合A0.98682025-03-25-2.65-7.78-4.772.5023.03-1.01-18.90-21.95-1.323.96-1.32
混合型019253富安达科技创新混合C0.98232025-03-25-2.65-7.79-4.782.4422.85-1.31-3.66-3.66-3.663.89-3.66
混合型014600博时回报严选混合A0.86102025-03-25-2.65-7.08-7.0110.2043.7417.82-8.38-11.23-13.9010.84-13.90
混合型014601博时回报严选混合C0.84762025-03-25-2.65-7.09-7.0510.0543.3717.22-9.30-12.56-15.2410.70-15.24
混合型008185诺安研究优选混合A0.79762025-03-25-2.65-6.04-8.443.5014.55-6.03-28.42-35.71-20.247.46-20.24
混合型014497诺安研究优选混合C0.78732025-03-25-2.65-6.05-8.473.4014.32-6.41-29.00-36.48-46.387.36-46.38
混合型014811平安兴奕成长1年持有混合A0.78532025-03-25-2.65-7.16-10.252.6524.819.99-15.15-15.27-21.473.67-21.47
混合型011665汇添富数字经济引领发展三年持有0.76502025-03-25-2.65-6.40-5.054.6518.1618.15-4.41-8.26-23.506.01-23.50
混合型005198工银沪港深精选混合C0.76482025-03-25-2.65-5.82-0.7111.8821.4430.8510.901.80-12.4011.60-23.52
混合型011666汇添富数字经济引领发展三年持有0.75382025-03-25-2.65-6.41-5.094.5517.9317.67-5.17-9.36-24.625.92-24.62
混合型019159中欧产业领航混合A1.16562025-03-25-2.66-8.46-7.524.6420.2416.5616.5616.5616.565.6916.56
混合型006887诺德新生活混合A0.98882025-03-25-2.66-10.33-13.32-9.9527.016.67-14.02-3.92-5.62-7.99-1.12
混合型006888诺德新生活混合C0.98702025-03-25-2.66-10.33-13.34-9.9726.956.55-14.17-4.09-5.79-8.01-1.30
混合型014812平安兴奕成长1年持有混合C0.76562025-03-25-2.66-7.19-10.312.4524.319.11-16.51-17.29-23.443.47-23.44
混合型019160中欧产业领航混合C1.15922025-03-25-2.67-8.46-7.564.4919.9615.9315.9215.9215.925.5415.92
混合型023566德邦高端装备混合发起式A0.91852025-03-25-2.670.00-8.15-8.15-8.15-8.15-8.15-8.15-8.15-8.15-8.15
混合型023567德邦高端装备混合发起式C0.91842025-03-25-2.670.00-8.16-8.16-8.16-8.16-8.16-8.16-8.16-8.16-8.16
混合型014261摩根沃享远见一年持有期混合A0.84802025-03-25-2.67-6.28-1.1412.9632.4624.3210.30-12.62-15.2013.51-15.20
混合型014262摩根沃享远见一年持有期混合C0.82682025-03-25-2.67-6.29-1.2112.7431.9323.338.55-14.69-17.3213.29-17.32
混合型005775中加转型动力混合A2.72242025-03-25-2.67-5.32-2.713.6918.8313.698.8412.6387.745.72172.24
混合型005776中加转型动力混合C2.57672025-03-25-2.67-5.34-2.773.4818.3612.797.119.9680.535.53157.67
混合型005819国泰优势行业混合A1.78562025-03-25-2.67-7.26-12.70-7.9326.3312.916.34-12.6448.48-4.7778.56
混合型009380富安达科技领航混合A0.49492025-03-25-2.67-7.87-5.880.1220.270.77-20.84-41.31-50.511.87-50.51
混合型018987富安达科技领航混合C0.49252025-03-25-2.67-7.88-5.900.0420.090.47-8.24-8.24-8.241.80-8.24
混合型014408创金合信兴选产业趋势混合A0.87062025-03-25-2.68-6.36-8.02-5.5335.8815.83-10.28-12.94-12.94-2.95-12.94
混合型012918平安优势领航1年持有混合C0.66552025-03-25-2.68-7.27-6.068.2630.117.30-13.28-16.68-33.458.53-33.45
混合型015585国泰优势行业混合C1.75572025-03-25-2.68-7.27-12.74-8.0625.9612.235.06-8.12-8.12-4.90-8.12
混合型005967鹏华创新驱动混合1.38602025-03-25-2.68-7.97-9.911.1131.6125.26-7.46-7.7512.983.8238.60
混合型005164富荣福锦混合A2.15552025-03-25-2.69-8.80-10.70-1.8750.6522.848.147.3398.941.19115.55
混合型021489中航趋势领航混合发起A2.15372025-03-25-2.69-6.44-1.7545.85122.06121.55121.55121.55121.5554.52121.55
混合型021490中航趋势领航混合发起C2.14342025-03-25-2.69-6.45-1.8045.63121.39120.51120.51120.51120.5154.31120.51
混合型005165富荣福锦混合C2.11962025-03-25-2.69-8.81-10.71-1.8950.5722.787.987.0698.041.16111.96
指数型013606华夏中证内地低碳经济主题ETF发起0.54952024-10-15-2.69-13.5216.0310.724.37-3.68-33.58-45.05-45.055.13-45.05
股票型013606华夏中证内地低碳经济主题ETF发起0.54952024-10-15-2.69-13.5216.0310.724.37-3.68-33.58-45.05-45.055.13-45.05
股票型013606华夏中证内地低碳经济主题ETF发起0.54952024-10-15-2.69-13.5216.0310.724.37-3.68-33.58-45.05-45.055.13-45.05
指数型013606华夏中证内地低碳经济主题ETF发起0.54952024-10-15-2.69-13.5216.0310.724.37-3.68-33.58-45.05-45.055.13-45.05
混合型008227宝盈研究精选混合A1.27332025-03-25-2.69-6.45-1.313.6518.39-3.55-20.09-27.5016.855.9827.33
混合型020090万家研究领航混合A0.90692025-03-25-2.69-8.71-9.66-4.23-6.33-9.31-9.31-9.31-9.31-1.11-9.31
混合型014409创金合信兴选产业趋势混合C0.85882025-03-25-2.69-6.36-8.05-5.6535.5015.21-11.22-14.12-14.12-3.06-14.12
混合型015485平安策略优选1年持有混合A0.84862025-03-25-2.69-7.32-10.121.8624.089.05-15.50-15.14-15.143.24-15.14
混合型014037博时成长回报混合C0.76382025-03-25-2.69-7.54-8.0310.3944.8817.47-11.23-14.55-23.6211.90-23.62
混合型014460平安品质优选混合A0.71382025-03-25-2.69-7.33-10.012.2523.478.65-18.70-19.61-28.623.75-28.62
混合型014461平安品质优选混合C0.69562025-03-25-2.69-7.34-10.062.0523.017.79-19.99-21.51-30.443.57-30.44
混合型012917平安优势领航1年持有混合A0.68492025-03-25-2.69-7.27-6.018.4730.638.18-11.86-14.64-31.518.73-31.51
混合型008228宝盈研究精选混合C1.24132025-03-25-2.70-6.47-1.363.5118.11-4.02-20.89-28.5014.065.8424.13
混合型010518华夏先锋科技一年定开混合A0.78872025-03-25-2.70-5.42-1.2513.4829.4424.526.05-6.61-21.1312.43-21.13
混合型014036博时成长回报混合A0.77912025-03-25-2.70-7.54-7.9910.5645.3318.17-10.16-13.01-22.0912.04-22.09
混合型010519华夏先锋科技一年定开混合C0.76682025-03-25-2.70-5.43-1.3013.3029.0023.664.58-8.54-23.3212.25-23.32
混合型013323国寿安保盛泽三年持有混合A0.70152025-03-25-2.70-8.17-10.91-2.7720.1819.55-9.97-21.02-29.85-0.50-29.85
指数型013605华夏中证内地低碳经济主题ETF发起0.55442024-10-15-2.70-13.5216.0610.794.51-3.40-33.19-44.56-44.565.36-44.56
股票型013605华夏中证内地低碳经济主题ETF发起0.55442024-10-15-2.70-13.5216.0610.794.51-3.40-33.19-44.56-44.565.36-44.56
股票型013605华夏中证内地低碳经济主题ETF发起0.55442024-10-15-2.70-13.5216.0610.794.51-3.40-33.19-44.56-44.565.36-44.56
指数型013605华夏中证内地低碳经济主题ETF发起0.55442024-10-15-2.70-13.5216.0610.794.51-3.40-33.19-44.56-44.565.36-44.56
混合型020091万家研究领航混合C0.90422025-03-25-2.71-8.72-9.71-4.36-6.45-9.58-9.58-9.58-9.58-1.23-9.58
混合型015486平安策略优选1年持有混合C0.83382025-03-25-2.71-7.35-10.191.6523.588.17-16.86-16.62-16.623.04-16.62
混合型016249银华创新动力优选混合C0.82192025-03-25-2.71-6.19-3.634.3327.9418.93-15.62-17.81-17.816.99-17.81
混合型501200民生加银科技创新混合(LOF)0.75492025-03-25-2.71-5.21-5.418.5927.289.26-3.29-23.55-24.519.20-24.51
混合型013324国寿安保盛泽三年持有混合C0.69262025-03-25-2.71-8.18-10.94-2.8719.9319.06-10.69-21.97-30.74-0.59-30.74
混合型630006华商产业升级混合1.32902025-03-25-2.71-9.41-13.48-3.6319.518.14-22.24-27.614.89-1.4866.86
混合型015144中欧智能制造混合C1.38372025-03-25-2.72-7.43-3.7822.4979.8271.5334.0838.3838.3723.7138.37
QDII型161831银华恒生中国企业指数0.79522025-03-25-2.72-6.381.0018.2330.0654.0834.6734.69-6.9818.51-4.56
混合型019154中欧锐意成长混合发起C1.06032025-03-25-2.72-8.15-3.248.8625.7314.756.036.036.0310.016.03
混合型015150恒越匠心优选一年持有混合A0.93582025-03-25-2.72-5.405.7317.5035.7811.22-5.29-6.42-6.4216.34-6.42
混合型015151恒越匠心优选一年持有混合C0.92482025-03-25-2.72-5.415.6917.3635.4410.65-6.24-7.52-7.5216.21-7.52
混合型016507长城数字经济混合A0.87492025-03-25-2.72-8.98-11.98-0.0927.119.91-18.02-12.51-12.512.36-12.51
混合型016508长城数字经济混合C0.86352025-03-25-2.72-8.98-12.01-0.2326.729.25-19.00-13.65-13.652.23-13.65
混合型016248银华创新动力优选混合A0.82922025-03-25-2.72-6.18-3.624.4228.2019.40-14.95-17.08-17.087.09-17.08
混合型019153中欧锐意成长混合发起A1.07642025-03-25-2.73-8.14-3.199.0126.9216.147.647.647.6410.167.64
混合型011635富国港股通策略精选混合A0.83472025-03-25-2.73-5.083.3412.7419.6927.077.14-2.43-16.5313.32-16.53
混合型011636富国港股通策略精选混合C0.81572025-03-25-2.73-5.103.3112.5719.3226.295.85-4.17-18.4313.17-18.43
混合型010912国泰成长价值混合A0.75752025-03-25-2.73-7.62-10.50-4.3931.3317.314.38-13.36-24.25-1.14-24.25
混合型010913国泰成长价值混合C0.74252025-03-25-2.73-7.63-10.53-4.5131.0016.733.35-14.65-25.75-1.24-25.75
混合型015143中欧智能制造混合A1.40572025-03-25-2.73-7.42-3.7522.6980.3872.5035.5240.5840.5723.9040.57
混合型009837华夏磐锐一年定开混合A1.36732025-03-25-2.74-7.56-2.2815.7247.4230.0815.8211.6136.7316.7836.73
混合型009838华夏磐锐一年定开混合C1.34432025-03-25-2.74-7.58-2.3215.6047.1329.5614.9110.2834.4316.6734.43
混合型010126平安价值成长混合A0.80142025-03-25-2.74-7.36-6.337.8531.538.43-11.03-12.46-19.868.17-19.86
混合型010127平安价值成长混合C0.77322025-03-25-2.74-7.37-6.387.6431.037.58-12.43-14.52-22.687.99-22.68
混合型015035银华核心动力精选混合A0.76782025-03-25-2.74-6.46-3.833.1327.3719.45-14.90-23.22-23.225.18-23.22
混合型015036银华核心动力精选混合C0.75592025-03-25-2.74-6.47-3.882.9827.0018.74-15.92-24.41-24.415.03-24.41
混合型018710鹏华沪深港新兴成长混合C1.13062025-03-25-2.76-7.46-5.6726.8270.9928.9213.0613.0613.0632.7913.06
混合型019054富国价值成长混合A1.09442025-03-25-2.76-2.780.132.5712.588.129.449.449.442.489.44
混合型019055富国价值成长混合C1.09172025-03-25-2.76-2.800.082.4212.948.149.179.179.172.349.17
混合型011412易方达远见成长混合C0.92872025-03-25-2.76-8.98-13.24-3.6021.2714.60-15.746.23-7.13-1.94-7.13
混合型970100兴证资管金麒麟兴享优选一年持有0.76482025-03-25-2.76-7.79-9.43-3.8415.444.90-11.90-12.50-23.52-1.01-23.52
混合型970101兴证资管金麒麟兴享优选一年持有0.73572025-03-25-2.76-7.80-9.43-3.8415.404.86-11.96-12.56-25.96-1.01-25.96
混合型005299万家成长优选混合A2.60422025-03-25-2.76-8.22-12.19-9.5016.566.69-5.96-10.4582.84-6.98160.42
混合型005300万家成长优选混合C2.51102025-03-25-2.76-8.23-12.22-9.6116.286.16-6.89-11.7878.35-7.09151.10
混合型003835鹏华沪深港新兴成长混合A1.53762025-03-25-2.76-7.46-5.6326.9571.3029.3211.917.3513.8932.9188.84
混合型016530鹏华碳中和主题混合A1.66412025-03-25-2.77-7.53-2.6458.40156.9689.8466.4166.4166.4167.7266.41
混合型016531鹏华碳中和主题混合C1.64552025-03-25-2.77-7.54-2.6758.18156.2788.7364.5564.5564.5567.5064.55
混合型005296南华丰淳混合A1.54342025-03-25-2.77-6.02-7.2018.0143.9731.01-3.00-7.3068.0120.1471.77
混合型005297南华丰淳混合C1.46992025-03-25-2.77-6.02-7.2317.9043.7030.51-3.76-8.4064.8320.0463.59
混合型001534华宝万物互联混合A1.12202025-03-25-2.77-9.81-11.86-3.1934.533.22-16.83-25.1013.10-0.7112.20
混合型011891易方达先锋成长混合A1.02912025-03-25-2.77-8.95-12.98-2.6126.3219.08-13.2116.902.91-1.142.91
混合型011892易方达先锋成长混合C1.01472025-03-25-2.77-8.96-13.01-2.7026.0718.60-13.9215.501.47-1.231.47
混合型010115易方达远见成长混合A0.94392025-03-25-2.77-8.98-13.21-3.5221.5115.05-15.067.52-5.61-1.85-5.61
混合型013009万家港股通精选混合A0.84262025-03-25-2.77-4.741.1415.1725.7229.994.801.07-15.7415.33-15.74
混合型970102兴证资管金麒麟兴享优选一年持有0.74512025-03-25-2.77-7.81-9.48-4.0314.954.02-13.36-14.64-25.49-1.19-25.49
混合型021981安联中国精选混合A1.29752025-03-25-2.78-8.65-7.826.3730.2629.7529.7529.7529.759.7729.75
混合型021982安联中国精选混合C1.29462025-03-25-2.78-8.66-7.856.2629.9929.4629.4629.4629.469.6729.46
混合型050009博时新兴成长混合0.97902025-03-25-2.78-6.58-8.162.8436.7317.67-7.90-11.2426.164.5916.78
混合型013010万家港股通精选混合C0.82922025-03-25-2.78-4.761.1015.0225.4329.343.75-0.43-17.0815.20-17.08
混合型013916国联成长先锋一年持有混合A0.73902025-03-25-2.78-6.63-8.19-0.8210.790.01-16.20-26.10-26.10-1.00-26.10
混合型005542前海开源盛鑫混合C1.50922025-03-25-2.78-6.72-6.7436.2337.7440.4719.7413.0150.0242.30175.64
混合型005541前海开源盛鑫混合A1.50262025-03-25-2.78-6.72-6.7336.2437.7640.5619.8913.2550.6742.29177.07
混合型012688长安成长优选混合A0.61592025-03-25-2.78-6.70-8.6110.9136.1117.45-1.31-14.24-38.4113.87-38.41
混合型012689长安成长优选混合C0.59832025-03-25-2.78-6.72-8.6610.6935.5816.51-2.89-16.29-40.1713.66-40.17
混合型013917国联成长先锋一年持有混合C0.72182025-03-25-2.79-6.65-8.25-1.0310.35-0.78-17.55-27.82-27.82-1.19-27.82
混合型000742国泰新经济灵活配置混合A2.12902025-03-25-2.79-7.68-12.96-7.6026.8813.001.77-16.3533.15-4.61257.35
混合型001438易方达瑞享混合E2.40992025-03-25-2.80-8.97-12.85-2.7427.6016.42-12.7521.1093.72-1.32140.99
混合型006233万家汽车新趋势混合A1.95752025-03-25-2.80-9.07-12.27-8.3214.874.09-10.95-8.23105.66-6.10147.12
混合型006234万家汽车新趋势混合C1.90502025-03-25-2.80-9.08-12.30-8.4414.593.57-11.85-9.61100.56-6.21140.49
混合型016332长城产业臻选混合A0.95472025-03-25-2.80-4.74-6.2810.2829.2816.85-4.57-4.53-4.5311.10-4.53
混合型016333长城产业臻选混合C0.93932025-03-25-2.80-4.76-6.3410.0528.7615.92-6.09-6.07-6.0710.90-6.07
混合型016873广发远见智选混合A0.79442025-03-25-2.80-9.54-11.469.5425.3613.62-13.82-20.56-20.5610.00-20.56
混合型001215博时沪港深优质企业基金A1.14202025-03-25-2.81-6.85-10.227.7439.1020.08-8.13-20.31-2.069.3914.20
混合型016463华宝万物互联混合C1.10502025-03-25-2.81-9.87-11.95-3.4134.102.50-17.78-22.40-22.40-0.90-22.40
混合型016874广发远见智选混合C0.78522025-03-25-2.81-9.55-11.499.4125.0513.06-14.67-21.48-21.489.88-21.48
混合型005228汇添富港股通专注成长0.70932025-03-25-2.81-7.43-0.0316.4926.4631.64-6.00-4.91-3.4617.26-29.07
混合型011399汇添富数字未来混合A0.62172025-03-25-2.81-7.76-10.120.5014.3511.94-10.94-15.48-37.832.02-37.83
混合型001437易方达瑞享混合I2.97272025-03-25-2.81-8.96-12.83-2.6927.7316.67-12.4121.8395.57-1.28197.27
混合型005743长安裕隆混合A2.39402025-03-25-2.81-6.53-8.3410.9838.1919.770.76-12.5037.2714.10139.40
混合型005744长安裕隆混合C2.32232025-03-25-2.81-6.54-8.3810.8437.8519.17-0.25-13.8133.8713.97132.23
混合型014989国泰新经济灵活配置混合C2.10702025-03-25-2.81-7.71-13.01-7.6726.6212.611.01-17.18-14.21-4.66-14.21
混合型006371长安鑫盈混合A1.60872025-03-25-2.81-6.63-8.4511.2337.0418.02-1.49-13.7732.4914.2160.87
混合型012079信澳新能源精选混合A1.57162025-03-25-2.82-5.89-3.6214.1450.6846.9743.8320.1357.1614.7457.16
混合型006372长安鑫盈混合C1.54752025-03-25-2.82-6.65-8.5111.0036.4917.08-3.07-15.8127.2813.9954.75
混合型020624信澳新能源精选混合C1.54042025-03-25-2.82-5.91-3.6613.9948.2444.1661.1061.1061.1014.6061.10
混合型002555博时沪港深优质企业基金C1.13602025-03-25-2.82-6.89-10.277.4738.7119.33-9.12-21.60-4.709.2366.08
混合型001518万家瑞兴灵活配置混合A1.07092025-03-25-2.82-6.32-0.574.3716.997.81-12.13-11.60-32.304.9260.54
混合型011400汇添富数字未来混合C0.60912025-03-25-2.82-7.77-10.160.3814.0411.37-11.84-16.74-39.091.91-39.09
混合型011829平安睿享成长混合C0.65122025-03-25-2.83-7.49-6.577.2530.246.79-14.02-14.81-34.887.53-34.88
混合型011817银华阿尔法混合0.62782025-03-25-2.83-7.38-3.274.0812.15-2.11-29.21-22.82-37.224.84-37.22


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