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001489万家瑞丰灵活配置混合C1.37772025-03-25-0.17-2.21-2.030.265.824.883.141.2721.140.5037.76
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018795汇添富稳益60天持有债券C1.05072025-03-250.020.080.120.251.183.495.075.075.070.085.07
债券型006300华宝宝丰高等级债券A1.04862025-03-250.020.110.190.250.992.104.937.4912.770.2021.37
债券型019028广发添福30天持有债券C1.04352025-03-250.000.030.120.250.672.264.354.354.350.234.35
债券型020200广发理财年年红债券C1.04222025-03-250.010.020.080.251.812.813.303.303.300.243.30
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970205兴证资管金麒麟兴享增利六个月持1.03642025-03-250.08-0.040.250.251.612.153.093.643.640.243.64
债券型020805国投瑞银和嘉债券A1.03202025-03-250.00-0.020.240.251.893.203.203.203.20-0.073.20
债券型019763泰信添益90天持有期债券C1.03032025-03-250.040.100.220.250.361.703.033.033.030.213.03
债券型002688红塔红土长益定开债A1.02582025-03-210.000.230.120.251.384.359.074.8021.910.1636.37
债券型021339中信保诚60天持有债券C1.02412025-03-250.020.100.130.251.652.412.412.412.410.192.41
债券型008549汇安中债-广西信用债A1.02312025-03-250.050.360.210.251.094.307.6710.1618.730.2419.44
债券型006516浙商汇金短债A1.02002025-03-250.010.160.180.250.791.945.347.9415.630.1322.48
债券型021361国投瑞银和兴债券C1.01972025-03-250.00-0.010.420.251.481.971.971.971.97-0.041.97
债券型011985申万菱信合利纯债债券A1.01872025-03-250.040.180.260.250.872.155.247.6727.070.1727.07
债券型022660永赢宏泰短债D1.01502025-03-250.030.110.180.250.980.980.980.980.980.120.98
债券型016993长江惠盈9个月持有债券发起式A1.01472025-03-25-0.03-0.28-0.190.253.161.240.241.471.470.331.47
债券型022163鹏华稳利短债债券D1.00742025-03-250.010.070.150.250.690.740.740.740.740.120.74
债券型022012宏利鑫享90天持有债券A1.00672025-03-250.060.130.090.250.670.670.670.670.670.160.67
债券型021343建信鑫诚90天持有期债券C1.00572025-03-250.030.210.180.250.570.570.570.570.570.150.57
债券型000140富国国有企业债债券A/B1.00542025-03-250.030.130.250.250.972.255.628.1815.070.1759.81
债券型000139富国国有企业债债券A/B1.00542025-03-250.030.130.250.250.972.255.628.1815.070.1759.81
债券型023068鹏华添泽120天滚动持有债券A1.00252025-03-210.000.070.220.250.250.250.250.250.250.250.25
混合型002061国泰安康定期支付混合C3.54002025-03-250.11-0.080.910.254.007.995.173.2126.110.23186.41
混合型005634汇安行业龙头混合A1.71182025-03-25-0.37-2.03-3.840.2545.2313.55-6.71-19.8764.224.5171.18
混合型001338安信稳健增值混合C1.70212025-03-250.170.111.200.256.886.6011.0313.1026.650.4078.14
混合型001339兴银鼎新灵活配置A1.67162025-03-250.070.170.430.251.75-7.24-11.23-8.9557.250.1976.24
混合型003294嘉实新趋势混合C1.55722025-03-250.040.220.430.252.514.374.374.374.37-0.014.37
混合型001189广发聚宝混合A1.49642025-03-250.16-0.050.480.254.151.89-2.740.4819.150.5249.64
混合型005006中金瑞安混合发起C1.47282025-03-25-0.54-1.590.680.2514.128.61-4.75-2.3542.640.8547.28
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016981银河核心优势混合C0.65402025-03-25-1.57-6.50-5.830.2515.361.44-21.25-34.15-34.151.10-34.15
混合型012313长城兴华优选一年定开混合C0.56842025-03-25-1.32-4.41-1.850.258.76-2.62-25.67-32.44-43.160.71-43.16
混合型014695长盛先进制造六个月持有混合A0.48982025-03-25-0.39-5.50-4.170.251.01-15.83-46.00-51.01-51.022.96-51.02
货币型970158信达现金宝货币0.89132025-03-250.010.020.080.250.501.142.793.993.990.233.99
货币型970167粤开现金惠货币0.27362025-03-250.000.020.070.250.501.082.422.972.970.232.97
货币型970181上海证券现金添利货币0.26292025-03-250.000.020.080.250.551.212.813.253.250.233.25
货币型970177万联天添利货币0.25032025-03-250.000.020.070.250.561.212.673.493.490.233.49
货币型750006安信现金管理货币A0.24332025-03-250.000.020.090.250.481.092.583.757.350.2436.83
货币型900016中信证券现金增值0.21902025-03-250.000.020.060.250.470.972.323.213.210.233.21
债券型002246泰康稳健增利债券C1.54992025-03-250.080.04-0.120.251.573.166.259.4616.840.0054.99
债券型000583江信聚福定开债1.31502025-03-210.000.14-0.040.250.634.018.1714.2223.320.1781.34
债券型009311创金合信鑫日享短债债券E1.22862025-03-250.020.080.200.250.731.965.508.2915.180.1815.18
债券型007075富国产业债券C1.18992025-03-250.090.260.090.252.243.727.8210.8118.160.0224.75
债券型007582中泰青月中短债A1.18402025-03-250.020.110.180.250.922.275.638.3115.500.1518.39
债券型007985博时富悦纯债A1.18352025-03-250.080.420.160.251.583.728.6711.6320.20-0.1922.12
债券型008678财通兴利纯债12个月定开债1.17672025-03-210.000.210.090.251.224.5414.3417.9924.360.1824.93
债券型007515鹏华稳利短债债券A1.16212025-03-250.010.070.150.250.681.884.847.1413.890.1116.21
债券型008775招商鑫福中短债C1.15522025-03-250.020.100.160.251.012.365.528.0715.520.1515.52
债券型006646汇添富短债债券A1.14752025-03-250.020.080.170.250.992.154.987.2013.360.1919.33
债券型019446汇添富短债债券D1.14672025-03-250.020.080.170.250.952.103.603.603.600.193.60
债券型005350诺德短债A1.14472025-03-250.020.120.110.250.712.156.889.0811.810.1114.46
债券型006669华夏中短债债券C1.14302025-03-250.030.150.210.251.283.076.809.0313.970.0919.61
债券型009462东方臻萃3个月定开债券C1.14242025-03-250.020.220.250.250.742.3710.9017.1928.870.1828.87
债券型013804财通资管鸿越3个月滚动持有债券A1.14172025-03-250.050.200.150.251.082.787.1112.1214.170.1614.17
债券型008746财通多利债券A1.14042025-03-250.020.120.230.250.822.085.859.6214.040.2014.04
债券型022540天弘安利短债E1.12822025-03-250.020.090.170.250.730.730.730.730.730.160.73
债券型022266博时裕泉纯债债券C1.12482025-03-250.020.130.250.251.251.251.251.251.250.091.25
债券型012580财通资管鸿安30天滚动中短债A1.12482025-03-250.030.110.190.250.942.235.728.5012.480.2012.48
债券型012591广发添财180天滚动持有债券A1.12452025-03-250.040.200.190.251.022.946.409.2212.450.1212.45
债券型012593广发添财180天滚动持有债券E1.12412025-03-250.040.200.190.251.022.936.389.2012.410.1212.41
债券型019639华安众鑫90天滚动短债E1.12062025-03-250.000.080.160.251.001.001.001.001.000.211.00
债券型952050国泰君安60天滚动持有中短债B1.11852025-03-250.030.130.170.250.962.416.5910.1010.190.1210.19
债券型008696平安元盛超短债E1.11772025-03-250.010.040.130.250.721.904.245.7811.810.1811.77
债券型970160东莞德鑫3个月定开债券1.11742025-03-250.060.120.130.251.192.988.4411.7411.740.1811.74
债券型012942广发添财90天滚动持有债券C1.11272025-03-250.020.110.200.251.022.835.968.8311.270.1611.27
债券型012230华安众鑫90天滚动短债C1.11262025-03-250.000.070.160.250.892.305.818.7711.260.2111.26
债券型013537鹏华稳华90天滚动持有债券C1.11092025-03-250.040.110.160.251.002.167.229.7011.090.1611.09
债券型013901华安众享180天持有期中短债A1.11042025-03-250.050.160.150.251.062.386.519.7211.040.1911.04
债券型013282国泰君安30天滚动持有中短债C1.10772025-03-250.020.120.190.250.872.145.828.6910.770.1510.77
债券型485020工银14天理财债券发起B1.10672025-03-250.010.050.160.250.681.513.675.590.000.2210.67
债券型013399大成稳益90天滚动持有债券A1.10512025-03-250.030.190.240.251.122.948.3110.5110.510.1410.51
债券型014490浙商双月鑫60天滚动持有中短债A1.10472025-03-250.070.270.150.251.153.028.0610.4710.47-0.0310.47
债券型014250建信鑫怡90天滚动持有中短债债券A1.10422025-03-250.030.150.180.251.062.506.699.8510.420.1310.42
债券型008570中航瑞智纯债C1.10422025-03-250.110.340.090.251.994.189.7710.4210.420.0110.42
债券型013820华安顺穗债券1.10362025-03-250.100.230.170.251.153.316.839.6010.36-0.1310.36
债券型021025德邦景颐债券E1.10262025-03-250.030.180.230.250.712.842.892.892.890.042.89
债券型013460华夏稳鑫增利80天滚动持有债券C1.10132025-03-250.010.090.210.250.612.166.379.2210.130.1910.13
债券型016800建信鑫和30天持有期债券C1.10092025-03-250.040.200.170.251.533.638.3110.0910.09-0.1010.09
债券型014815财通资管鸿慧中短债发起A1.09932025-03-250.040.220.210.251.082.506.619.939.930.119.93
债券型008411博时富信纯债债券A1.09692025-03-250.050.280.170.251.493.548.1110.4918.230.0618.33
债券型003669东方红益鑫纯债债券C1.09632025-03-250.040.170.200.251.954.137.239.6214.28-0.0131.06
债券型020615东方红益鑫纯债债券E1.09582025-03-250.040.170.190.251.944.094.904.904.90-0.024.90
债券型013336天弘安悦90天滚动持有短债发起C1.09442025-03-250.020.080.230.250.622.055.498.369.440.119.44
债券型015082兴业90天滚动持有中短债C1.09162025-03-250.030.110.160.250.922.215.419.169.160.149.16
债券型014518华夏30天滚动短债发起式C1.08982025-03-250.010.080.190.250.952.305.648.058.980.208.98
债券型016497建信鑫享短债债券D1.08932025-03-250.030.150.200.251.082.405.817.537.530.177.53
债券型014594汇添富稳福60天滚动持有中短债A1.08712025-03-250.020.100.200.250.792.095.128.518.910.178.91
债券型014596汇添富稳福60天滚动持有中短债E1.08682025-03-250.020.100.200.250.792.095.108.488.880.178.88
债券型016855汇添富稳福60天滚动持有中短债B1.08652025-03-250.020.100.200.250.792.105.125.235.230.185.23
债券型012242华安添荣中短债A1.08632025-03-250.030.120.190.250.482.217.169.6011.340.1311.34
债券型519944长信富安纯债180天持有债券C1.08572025-03-250.030.130.250.250.832.266.3014.4725.580.1852.07
债券型014298摩根月月盈30天滚动持有发起式短1.08492025-03-250.050.160.210.250.822.055.277.588.490.138.49
债券型015405嘉实90天滚动持有短债C1.08152025-03-250.010.060.160.250.731.935.728.148.140.208.14
债券型022234路博迈中国精选利率债C1.08032025-03-250.010.120.060.252.882.982.982.982.98-0.182.98
债券型016629广发添财60天持有债券C1.07832025-03-250.020.090.190.250.872.456.907.837.830.177.83
债券型017173创金合信季安盈3个月持有期债券C1.07722025-03-250.030.120.200.250.972.207.567.727.720.107.72
债券型015721平安元悦60天滚动持有短债C1.07632025-03-250.030.100.190.250.792.236.377.637.630.197.63
债券型016407中泰稳固30天持有中短债A1.07592025-03-250.020.110.170.251.092.546.597.597.590.157.59
债券型006998广发景兴中短债A1.06902025-03-250.010.070.150.251.172.395.518.2014.240.1818.93
债券型018423汇添富稳裕30天滚动持有债券C1.06302025-03-250.030.260.360.250.902.466.306.306.300.176.30
债券型016140汇添富稳瑞30天滚动持有中短债A1.06272025-03-250.020.110.240.250.902.455.496.276.270.216.27
债券型009985永赢迅利中高等级短债E1.06272025-03-250.020.080.160.250.881.964.877.1312.070.1612.07
债券型006012中信保诚稳鸿C1.06212025-03-250.070.210.410.250.983.148.4811.5615.470.1521.96
债券型015612东方红短债债券E1.06172025-03-250.020.110.230.250.792.004.907.817.810.197.81
债券型021596天弘稳健回报债券发起E1.06102025-03-250.080.000.210.253.011.921.921.921.920.111.92
债券型017306国寿安保超短债债券C1.05702025-03-250.020.090.160.250.741.815.265.705.700.205.70
股票型011320国泰上证综合ETF联接C1.15402025-03-26-0.03-1.66-0.270.2511.4314.1912.1219.4515.401.4515.40
股票型013505华安新丝路主题股票C1.19502025-03-26-0.17-5.08-6.570.256.03-9.88-29.21-38.31-51.402.22-51.40
指数型011320国泰上证综合ETF联接C1.15402025-03-26-0.03-1.66-0.270.2511.4314.1912.1219.4515.401.4515.40
混合型011061广发安悦回报混合C1.21382025-03-250.01-0.060.150.252.123.555.796.3111.010.2111.01
混合型519228海富通欣享灵活配置混合C1.20442025-03-250.120.22-0.050.2510.8611.648.0810.2929.240.2965.33
混合型018986信澳双创智选混合C1.18402025-03-25-0.61-3.79-4.080.2541.2930.3418.4018.4018.402.7518.40
混合型002784东方红价值精选混合C1.12732025-03-250.070.05-0.060.253.203.270.160.8217.050.1148.81
混合型012945南方宝裕混合A1.10402025-03-250.090.040.690.253.825.297.5110.5010.400.1310.40
混合型019131天弘多元锐选一年持有混合C1.07022025-03-250.18-0.491.070.257.346.687.027.027.020.227.02
混合型011209泰康招享混合C1.06172025-03-250.01-0.17-0.330.251.435.217.336.176.17-0.266.17
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011354国联景盛一年持有混合C1.04302025-03-250.180.04-0.180.253.154.836.077.894.300.074.30
混合型005652国富天颐混合A1.04212025-03-25-0.10-0.47-0.800.256.076.355.707.6531.820.2147.16
混合型009938东方欣益一年持有期混合C0.85912025-03-250.27-0.270.210.253.89-1.16-6.97-6.37-9.870.27-9.87
混合型001761广发安宏回报混合A0.78752025-03-25-0.64-2.09-2.130.2512.39-4.95-28.82-29.89-20.901.433.78
混合型001720工银新增利混合1.22902025-03-250.00-0.320.570.243.365.774.065.9520.430.4941.14
混合型016864华安招裕一年持有混合C1.03712025-03-25-0.020.080.070.242.162.323.713.713.710.093.71
混合型010007南方誉鼎一年持有期混合C1.03632025-03-250.09-0.101.250.245.785.210.593.423.630.433.63
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
混合型019277长城国企优选混合发起式A1.00562025-03-250.23-1.282.970.248.361.150.560.560.560.820.56
混合型015258鹏华稳享一年持有期混合A1.00172025-03-250.04-0.031.180.240.592.211.780.170.170.310.17
混合型018461大成积极成长混合C0.82802025-03-25-0.60-2.82-2.470.2416.6211.29-3.94-3.94-3.941.60-3.94
指数型021397广发中证云计算与大数据ETF发起式1.28172025-03-26-0.12-7.38-13.720.2437.4628.1728.1728.1728.175.3328.17
指数型481012工银深证红利ETF联接A1.05452025-03-26-0.20-1.773.040.245.545.17-3.240.2511.591.3689.44
指数型022441万家中证A500ETF发起式联接C0.99942025-03-26-0.29-2.43-1.660.24-0.06-0.06-0.06-0.06-0.061.34-0.06
债券型165311建信信用增强债券(LOF)A1.64602025-03-250.00-0.18-0.180.241.352.495.659.3722.200.1889.81
债券型000355南方丰元信用增强债券A1.40502025-03-250.130.520.140.241.753.317.448.6214.46-0.0372.42
债券型003310兴业启元一年定开债C1.34372025-03-210.000.02-0.270.244.454.469.1311.5820.44-0.1434.37
债券型100019富国天利增长债券A1.33612025-03-250.150.11-0.050.242.864.077.5910.8220.380.06363.39
债券型100018富国天利增长债券A1.33612025-03-250.150.11-0.050.242.864.077.5910.8220.380.06363.39
债券型007195长城短债C1.19252025-03-250.060.250.060.241.032.998.1810.8416.830.1319.25
债券型018960永赢易弘债券C1.19122025-03-250.08-0.08-0.180.243.044.316.426.426.42-0.056.42
债券型008502鹏扬聚利六个月持有期债券C1.14862025-03-250.040.130.680.245.796.694.967.9415.720.1714.86
债券型022413诺德短债D1.14462025-03-250.020.120.100.240.870.870.870.870.870.100.87
债券型008646天弘增利短债发起A1.13672025-03-250.030.110.190.240.742.045.218.0514.280.1614.28
债券型000142融通增强收益债券A1.13612025-03-25-0.04-0.090.180.241.273.517.6710.6622.330.1371.11
债券型000322农银汇理金汇债券A1.13322025-03-250.010.060.170.241.122.425.457.910.000.1613.32
债券型008344建信睿阳一年定期开放债券1.12682025-03-250.030.200.220.241.153.336.409.3515.93-0.0217.79
债券型008036蜂巢恒利债券C1.12642025-03-250.220.340.190.242.996.2912.1313.0318.50-0.3018.50
债券型005996国投瑞银顺昌纯债债券A1.12522025-03-250.040.200.200.241.023.018.8612.4317.290.0825.89
债券型011008国寿安保尊弘短债债券A1.11822025-03-250.030.140.130.240.702.266.149.4211.820.1111.82


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