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960026博时特许价值混合R0.77202018-11-140.131.05-0.26-15.81-23.94-31.50-25.480.000.00-29.43-22.80
股票型023415工银创业板50指数C0.99742025-03-210.00-0.26-0.26-0.26-0.26-0.26-0.26-0.26-0.26-0.26-0.26
股票型023415工银创业板50指数C0.99742025-03-210.00-0.26-0.26-0.26-0.26-0.26-0.26-0.26-0.26-0.26-0.26
股票型022494国泰上证综合ETF联接E1.16722025-03-26-0.03-1.66-0.260.26-1.02-1.02-1.02-1.02-1.021.45-1.02
指数型023415工银创业板50指数C0.99742025-03-210.00-0.26-0.26-0.26-0.26-0.26-0.26-0.26-0.26-0.26-0.26
指数型023415工银创业板50指数C0.99742025-03-210.00-0.26-0.26-0.26-0.26-0.26-0.26-0.26-0.26-0.26-0.26
指数型022494国泰上证综合ETF联接E1.16722025-03-26-0.03-1.66-0.260.26-1.02-1.02-1.02-1.02-1.021.45-1.02
债券型007838国寿安保尊耀纯债C1.16692025-03-250.11-0.22-0.260.273.084.556.058.8116.370.0719.90
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000069国投瑞银中高等级债券A1.14842025-03-250.03-0.10-0.260.692.073.697.009.6122.290.4384.07
债券型002720国寿安保尊利增强回报债券A1.13702025-03-250.18-0.52-0.26-0.266.365.383.085.2611.04-0.0923.11
债券型005327景顺长城景泰稳利定开债A1.09552025-03-250.060.30-0.26-0.541.254.278.4412.0018.58-0.8133.08
债券型013953工银瑞和3个月定开债券C1.08632025-03-250.030.17-0.26-0.731.994.688.3410.0710.61-1.1510.61
债券型011115海富通利率债债券A1.07832025-03-250.070.36-0.26-0.550.873.888.0310.6213.34-0.8613.34
债券型007446中欧增强回报债券(LOF)C1.06972025-03-250.13-0.27-0.261.204.036.129.959.701.480.905.85
债券型008802浦银安盛盛晖一年定开债券1.05832025-03-250.120.58-0.26-0.540.333.217.2410.1114.84-0.7614.84
债券型022584天弘齐享债券发起E1.05722025-03-250.060.36-0.26-0.581.571.571.571.571.57-1.061.57
混合型011876景顺长城医疗健康混合A0.61982025-03-25-1.16-4.50-0.261.5914.08-3.04-19.34-22.54-38.022.55-38.02
债券型017121南方贤元一年持有债券A1.05242025-03-25-0.21-0.60-0.26-0.413.083.855.245.245.24-0.405.24
债券型015804华安添魁债券1.04982025-03-250.040.26-0.26-0.551.063.738.229.169.16-0.849.16
债券型014234永赢轩益债券1.03782025-03-250.090.54-0.26-0.530.534.079.1112.0612.53-1.0112.53
债券型017581中航瑞融ESG一年定开债发起A1.03752025-03-240.000.22-0.26-0.320.462.443.753.753.75-0.423.75
债券型004844中银利享定期开放债券1.03452025-03-250.030.17-0.26-1.000.062.477.3610.5715.74-1.0630.80
债券型005488天弘尊享定开债发起式1.03222025-03-210.000.19-0.26-0.660.923.647.6410.4117.34-0.7833.41
债券型016124汇泉安盈回报债券A1.02952025-03-250.020.00-0.26-0.350.462.533.872.952.95-0.292.95
债券型015471万家鑫橙纯债A1.02442025-03-250.020.21-0.26-0.441.434.388.6910.4410.44-0.8210.44
债券型016125汇泉安盈回报债券C1.02232025-03-250.030.00-0.26-0.410.322.253.332.232.23-0.352.23
债券型021678永赢安泽6个月持有债券A1.01392025-03-210.000.10-0.26-0.021.391.391.391.391.39-0.301.39
债券型021132大成稳康6个月持有期债券C1.00842025-03-250.030.18-0.26-0.460.840.840.840.840.84-0.670.84
债券型021581贝莱德和悦利率债A0.99192025-03-250.070.32-0.26-0.81-0.81-0.81-0.81-0.81-0.81-0.81-0.81
混合型006590南方新优享灵活配置混合C2.93392025-03-25-0.75-1.63-0.26-0.885.49-0.38-9.75-28.32-4.56-0.4141.80
混合型013157前海开源新经济混合C2.06102025-03-25-1.46-4.95-0.262.2217.875.81-25.97-31.08-31.751.35-31.75
混合型003096中欧医疗健康混合C1.51372025-03-25-0.07-3.23-0.26-1.7910.74-2.79-31.60-40.57-18.730.3466.55
混合型004218前海开源裕和混合A1.46692025-03-250.25-1.21-0.263.5110.8711.9011.3913.7336.473.6551.24
混合型210006金鹰元禧混合A1.46572025-03-25-0.11-0.89-0.262.005.798.523.123.4324.432.1372.06
债券型018623海富通盈丰一年定开债券发起式1.05362025-03-250.100.42-0.27-0.312.884.776.416.416.41-0.876.41
债券型009299英大安惠纯债C1.04742025-03-250.060.32-0.27-0.640.221.594.166.3110.96-0.8210.96
债券型003656民生加银鑫元纯债A1.04592025-03-250.060.28-0.27-0.630.633.277.269.6827.85-0.9847.39
债券型006901上银慧祥利债券A1.04302025-03-250.090.34-0.27-0.490.593.568.8811.7119.19-0.7722.92
债券型007459浙商惠睿纯债债券1.03472025-03-250.020.39-0.27-0.640.122.156.118.088.41-0.718.64
债券型017690银华顺璟6个月定期开放债券A1.02452025-03-250.050.31-0.27-0.540.802.826.146.146.14-0.926.14
债券型021402银华顺璟6个月定期开放债券D1.02432025-03-250.050.31-0.27-0.530.802.362.362.362.36-0.912.36
债券型021680永赢安泽6个月持有债券E1.01352025-03-210.000.10-0.27-0.051.351.351.351.351.35-0.331.35
债券型007967大成惠嘉一年定开债券A1.00032025-03-250.000.01-0.27-0.010.621.654.046.5412.64-0.0313.31
混合型080007长盛同鑫行业配置混合A1.49602025-03-25-0.20-1.97-0.273.1019.1110.986.170.6137.004.1854.22
混合型002425金鹰元禧混合C1.45912025-03-25-0.12-0.90-0.271.985.738.412.903.1123.802.10111.93
指数型023253天弘上证180ETF发起联接C0.99902025-03-26-0.19-0.97-0.27-0.10-0.10-0.10-0.10-0.10-0.10-0.10-0.10
指数型022676富国中证A500指数增强A0.99742025-03-26-0.24-1.73-0.27-0.26-0.26-0.26-0.26-0.26-0.26-0.26-0.26
指数型006063景顺长城MSCI中国A股国际通指数增1.37962025-03-26-0.25-1.95-0.27-0.099.477.80-3.63-11.6323.071.1737.96
指数型003015中金沪深300A1.67172025-03-26-0.41-1.61-0.27-0.858.7111.603.902.5533.680.1567.17
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000245天弘稳利定期开放B1.31392025-03-210.000.22-0.27-0.021.024.0310.9413.1116.36-0.3976.03
债券型003024平安惠金定开债A1.28812025-03-250.05-0.19-0.270.652.501.996.7511.1215.620.5534.40
债券型007551鑫元泽利A1.12662025-03-250.04-0.17-0.270.371.953.509.5815.3126.920.1531.88
债券型002721国寿安保尊利增强回报债券C1.11402025-03-250.27-0.45-0.27-0.366.205.002.394.129.07-0.1819.45
债券型015069华宝安宜六个月持有债券A1.10252025-03-250.220.32-0.271.665.607.809.6410.2510.251.5710.25
债券型020505大成中债3-5年国开债指数D1.10142025-03-250.040.16-0.27-0.960.803.745.025.025.02-1.255.02
债券型007507大成中债3-5年国开债A1.10142025-03-250.030.15-0.27-0.950.803.748.3211.0517.52-1.2422.92
债券型007508大成中债3-5年国开债C1.09712025-03-250.040.16-0.27-0.970.763.658.1110.7316.86-1.2522.10
债券型006044永赢惠益债券C1.09472025-03-250.040.21-0.27-1.010.984.669.4612.2816.95-1.2128.24
债券型006732方正富邦富利纯债C1.08632025-03-250.040.25-0.27-0.990.822.738.4810.8912.68-1.3121.47
债券型012031光大纯债债券A1.07162025-03-250.140.54-0.27-0.320.953.106.949.4211.56-0.6711.56
债券型009943浦银安盛稳健丰利债券A1.07152025-03-25-0.06-0.36-0.270.733.244.804.925.957.150.727.15
债券型008496国泰惠瑞一年定开债1.07082025-03-210.00-0.02-0.27-0.501.003.479.0511.6518.16-0.5818.16
债券型011946建信裕丰利率债三个月定开债A1.06922025-03-250.040.22-0.27-0.940.813.337.5910.1113.10-1.1113.10
债券型003315景顺长城政策性金融债A1.06852025-03-250.060.28-0.27-0.531.364.378.7811.6718.12-0.7733.58
债券型006599国寿安保安丰纯债债券1.05992025-03-250.040.23-0.27-0.560.995.009.6912.3817.96-0.7325.06
债券型015055摩根安享回报一年持有期债券C1.05852025-03-25-0.08-0.48-0.270.194.344.971.984.342.710.122.71
债券型005068长信富海纯债一年定开债A1.05682025-03-070.000.01-0.270.691.222.997.4212.2719.50-0.0536.47
混合型007880朱雀产业智选混合A1.27532025-03-25-1.22-3.22-0.277.7323.7710.60-11.78-13.1128.037.9927.53
混合型005280安信稳健阿尔法定开混合A1.14512025-03-25-0.17-0.36-0.27-0.35-2.46-3.26-3.28-4.586.41-0.4514.51
混合型011052鹏华弘裕一年持有期混合A1.14212025-03-25-0.37-1.00-0.271.946.915.834.3311.2314.212.2214.21
混合型850004海通量化价值精选一年持有混合B1.12372025-03-25-0.48-2.35-0.271.5516.4216.747.827.90-10.551.88-10.55
混合型017220永赢合嘉一年持有混合A1.02512025-03-250.11-0.33-0.270.813.581.172.102.512.510.632.51
混合型016862华安沣荣一年持有混合C1.01402025-03-240.000.03-0.27-0.281.832.021.401.401.40-0.171.40
混合型003846汇安丰恒灵活配置混合C1.01072025-03-250.130.05-0.27-0.232.765.05-4.56-4.052.48-0.291.07
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023253天弘上证180ETF发起联接C0.99902025-03-26-0.19-0.97-0.27-0.10-0.10-0.10-0.10-0.10-0.10-0.10-0.10
股票型022676富国中证A500指数增强A0.99742025-03-26-0.24-1.73-0.27-0.26-0.26-0.26-0.26-0.26-0.26-0.26-0.26
股票型006063景顺长城MSCI中国A股国际通指数增1.37962025-03-26-0.25-1.95-0.27-0.099.477.80-3.63-11.6323.071.1737.96
股票型003015中金沪深300A1.67172025-03-26-0.41-1.61-0.27-0.858.7111.603.902.5533.680.1567.17
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012968广发行业严选三年持有期混合C0.51712025-03-25-0.48-4.73-0.27-0.2923.096.71-22.16-34.84-48.292.15-48.29
混合型014726广发成长动力三年持有混合C0.48262025-03-25-0.23-2.76-0.27-4.746.39-10.73-41.12-51.74-51.74-1.51-51.74
QDII型008183招商普盛全球配置(QDII-FOF)美元0.17792025-03-240.280.34-0.280.40-1.221.835.83-0.1746.660.8522.52
QDII型007975招商普盛全球配置(QDII-FOF)美元0.17792025-03-240.280.34-0.280.40-1.221.835.83-0.1746.660.8522.52
混合型019690华商产业机遇混合A1.15372025-03-25-0.99-3.93-0.289.9726.3415.3515.3715.3715.3710.5415.37
混合型850088海通量化价值精选一年持有混合A1.11952025-03-25-0.48-2.35-0.281.5116.3616.637.617.58-10.891.85-10.89
混合型009607长信稳健精选混合C1.10272025-03-250.07-0.19-0.28-1.816.167.990.892.2310.27-1.9610.27
混合型011798华安宁享6个月混合A0.96392025-03-250.190.46-0.28-1.661.181.10-1.77-1.54-3.61-1.73-3.61
混合型011838鹏扬中国优质成长混合C0.72432025-03-25-0.89-1.94-0.282.0414.7313.00-7.72-12.64-27.572.96-27.57
债券型015108中泰安益利率债A1.05292025-03-250.080.43-0.28-0.412.225.789.7811.2211.22-0.9211.22
债券型006055鹏扬淳合债券A1.05262025-03-250.020.10-0.28-0.360.743.318.5511.4217.98-0.6631.79
债券型020319鹏扬淳合债券D1.05242025-03-250.020.09-0.28-0.350.763.305.535.535.53-0.655.53
债券型018746永赢匠心增利债券A1.05182025-03-250.04-0.19-0.28-0.012.403.975.185.185.18-0.255.18
债券型018922民生加银恒源债券1.04302025-03-250.050.23-0.28-0.391.254.196.756.756.75-0.786.75
债券型006513鹏扬淳享债券A1.03902025-03-250.040.12-0.28-0.410.953.708.4512.0918.48-0.5625.91
债券型013667中加瑞鸿一年定开债发起1.03442025-03-250.100.52-0.28-0.310.272.857.619.079.07-0.599.07
债券型012339中信建投双鑫债券C1.03202025-03-250.05-0.15-0.281.163.884.374.654.253.200.463.20
债券型015958财通资管双安债券C1.02792025-03-250.090.01-0.280.052.093.034.835.305.300.045.30
债券型017442华商鸿悦纯债债券1.02412025-03-250.110.53-0.28-0.640.602.925.986.096.09-0.956.09
债券型016208华泰柏瑞锦汇债券1.02342025-03-250.100.47-0.28-0.650.722.414.794.824.82-0.804.82
债券型007323永赢久利债券1.02132025-03-250.070.38-0.28-0.610.584.177.9210.7314.41-0.8916.89
债券型021582贝莱德和悦利率债C0.99152025-03-250.070.31-0.28-0.85-0.85-0.85-0.85-0.85-0.85-0.85-0.85
混合型017211国富焦点驱动混合C2.06322025-03-250.01-0.22-0.28-0.071.893.475.696.126.12-0.386.12
混合型001657长安鑫富领先混合A1.78602025-03-250.00-0.33-0.28-3.3022.752.88-23.74-20.45-9.52-2.3078.60
混合型007502前海开源裕和混合C1.48442025-03-250.24-1.22-0.283.4610.7611.6610.9313.0435.093.5952.97
指数型165310建信沪深300指数增强(LOF)A1.22662025-03-26-0.15-1.77-0.28-0.549.0111.382.350.5730.590.39141.22
指数型022677富国中证A500指数增强C0.99712025-03-26-0.23-1.73-0.28-0.29-0.29-0.29-0.29-0.29-0.29-0.29-0.29
指数型016104申万菱信沪深300优选指数增强发起0.97422025-03-26-0.28-1.69-0.28-1.256.489.57-4.18-2.58-2.58-0.28-2.58
债券型660009农银增强收益债券A1.85592025-03-25-0.02-0.71-0.280.716.044.662.453.7313.641.0397.11
债券型531008建信稳定增利债券A1.77402025-03-250.11-0.39-0.281.375.254.724.368.9516.411.0868.13
债券型006717平安惠金定开债C1.27982025-03-250.05-0.19-0.280.622.441.886.5310.7915.060.5223.02
债券型450018国富恒久信用债券A1.25382025-03-250.14-0.62-0.280.724.205.036.979.8514.170.4067.48
债券型006467浦银安盛双债增强债券C1.21372025-03-250.09-0.38-0.281.024.344.654.215.8215.010.9921.37
债券型002902财通资管积极收益债券C1.19112025-03-250.300.96-0.28-1.054.582.550.853.289.29-1.1629.26
债券型000552中加纯债一年A1.15482025-03-210.000.22-0.28-0.210.722.138.1713.0422.03-0.4490.64
债券型013997广发增强债券A1.15012025-03-250.10-0.23-0.280.433.094.266.889.5610.960.3110.96
债券型005378前海联合泓元定开债券1.12262025-03-250.020.10-0.28-0.891.934.326.738.3915.49-0.9831.92
债券型006367交银裕祥纯债债券A1.11042025-03-250.050.27-0.28-0.530.662.727.029.3115.02-0.7823.13
债券型010099民生加银汇智3个月定开债1.07632025-03-250.070.35-0.28-0.511.033.337.208.8124.14-0.9024.14
债券型011628嘉实致明3个月定期纯债债券1.07472025-03-250.060.29-0.28-0.451.214.739.1011.2212.93-0.8712.93
股票型165310建信沪深300指数增强(LOF)A1.22662025-03-26-0.15-1.77-0.28-0.549.0111.382.350.5730.590.39141.22
股票型022677富国中证A500指数增强C0.99712025-03-26-0.23-1.73-0.28-0.29-0.29-0.29-0.29-0.29-0.29-0.29-0.29
股票型016104申万菱信沪深300优选指数增强发起0.97422025-03-26-0.28-1.69-0.28-1.256.489.57-4.18-2.58-2.58-0.28-2.58
股票型399011中海医疗保健主题股票A1.03202025-03-260.19-2.82-0.290.885.85-5.23-25.59-32.19-20.671.78159.99
股票型021852建信中证500指数增强E2.56642025-03-26-0.05-1.63-0.291.2015.4013.0513.0513.0513.052.9013.05
股票型005633建信中证500指数增强C2.56312025-03-26-0.05-1.63-0.291.2015.3910.31-6.24-6.8431.272.908.07
指数型021852建信中证500指数增强E2.56642025-03-26-0.05-1.63-0.291.2015.4013.0513.0513.0513.052.9013.05
债券型013159国泰瑞鑫一年定开债发起式1.05372025-03-210.000.13-0.29-0.211.183.547.9011.1611.27-0.4511.27
债券型016999上银聚嘉益一年定开债券发起式1.05042025-03-250.060.32-0.29-0.631.485.629.088.888.88-1.028.88
债券型011166万家陆家嘴金融城金融债1.04762025-03-210.00-0.03-0.29-0.611.443.927.9910.5215.76-0.7515.76
债券型017122南方贤元一年持有债券C1.04452025-03-25-0.21-0.60-0.29-0.502.853.414.454.454.45-0.494.45
债券型020060鹏扬淳旭债券A1.03812025-03-250.030.11-0.29-0.461.144.166.806.806.80-0.796.80
债券型006917上银慧祥利债券C1.03652025-03-250.090.33-0.29-0.560.453.248.2310.7018.27-0.8321.56
债券型022071诺德安鸿D1.03382025-03-250.120.38-0.29-0.67-1.41-1.19-1.19-1.19-1.19-1.00-1.19
债券型010440诺德安鸿A1.03382025-03-250.120.38-0.29-0.67-1.430.535.269.8714.80-1.0014.80
债券型009786华安锦源0-7年金融债定开债1.03052025-03-250.080.43-0.29-1.200.893.217.0710.1416.54-1.2516.54
债券型020881长信180天持有债券A1.02972025-03-250.04-0.34-0.290.592.132.972.972.972.970.532.97
债券型015472万家鑫橙纯债C1.01862025-03-250.030.21-0.29-0.541.093.857.668.998.99-0.918.99
债券型021679永赢安泽6个月持有债券C1.01282025-03-210.000.10-0.29-0.101.281.281.281.281.28-0.371.28
混合型016335汇丰晋信动态策略混合C3.42092025-03-25-0.42-4.15-0.296.3036.5414.34-22.90-26.54-26.5410.87-26.54
混合型001883中欧新动力混合(LOF)E2.88572025-03-25-0.55-2.71-0.294.6319.9012.90-8.67-10.7433.794.99130.61
混合型166009中欧新动力混合(LOF)A2.85942025-03-25-0.55-2.72-0.294.6419.9012.90-8.66-10.7433.805.00375.91
混合型163810中银价值混合A2.71302025-03-25-0.37-2.13-0.29-0.3716.448.39-4.67-6.2546.330.33176.48
混合型002253融通成长30灵活配置混合A2.43502025-03-25-0.20-3.49-0.291.913.625.8911.4924.7385.271.84165.68
混合型002252融通成长30灵活配置混合A2.43502025-03-25-0.20-3.49-0.291.913.625.8911.4924.7385.271.84165.68
混合型014106融通成长30灵活配置混合C2.39302025-03-25-0.21-3.51-0.291.813.385.3810.4122.9214.471.7414.47
混合型003044东方红战略精选混合A1.38252025-03-250.08-0.21-0.291.026.326.416.356.5517.690.9944.89
混合型011877景顺长城医疗健康混合C0.61092025-03-25-1.18-4.50-0.291.4813.87-3.43-19.99-23.47-38.912.45-38.91


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