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010585创金合信医药消费股票A0.49042025-03-26-0.22-3.120.310.688.16-4.81-31.83-37.89-50.961.68-50.96
股票型012875易方达上证50指数(LOF)C1.07352025-03-26-0.51-2.420.31-0.747.5813.595.651.18-12.40-0.09-12.40
股票型001237博时上证50ETF联接A1.17462025-03-26-0.51-2.410.31-0.636.9813.567.553.3218.340.0017.46
指数型019319汇添富国证2000指数增强C1.25182025-03-260.82-2.280.319.7939.5737.6525.1825.1825.1812.0225.18
指数型016866华泰紫金中证500指数增强发起C1.00172025-03-260.06-1.560.312.9019.5116.721.180.170.174.790.17
混合型004227泰信鑫利混合A1.20882025-03-250.120.520.310.672.384.438.235.9711.850.5323.12
混合型009796大成汇享一年持有混合A1.18972025-03-25-0.08-0.170.310.504.235.767.9111.4318.970.5118.97
混合型004228泰信鑫利混合C1.17962025-03-250.130.520.310.672.374.438.095.4210.380.5420.20
混合型009691国泰浩益混合A1.12682025-03-250.160.150.31-0.282.284.141.370.1012.68-0.1512.68
混合型009328东兴兴晟混合C1.12322025-03-25-0.31-2.000.314.6423.4410.27-2.584.6112.325.3712.32
混合型010511博时鑫康混合C1.11312025-03-250.03-0.450.313.5613.1210.182.3911.5614.853.0914.85
混合型010831国泰通利9个月持有期混合C1.10612025-03-25-0.05-0.330.311.836.434.642.824.2010.612.0410.61
混合型011387工银宁瑞6个月持有期混合A1.10162025-03-25-0.05-0.630.310.435.368.558.3611.7510.160.4110.16
混合型008831海富通安益对冲混合A1.07842025-03-25-0.010.580.310.894.27-0.501.533.338.830.707.84
混合型010817国联安鑫稳3个月持有混合A1.06872025-03-250.030.040.31-0.214.286.135.906.256.87-0.306.87
混合型017078华泰紫金景泓12个月持有期混合发1.05782025-03-250.03-0.090.310.362.144.035.275.785.780.035.78
混合型008773中银景泰回报混合1.05262025-03-250.140.150.31-0.441.753.663.374.3211.25-0.4111.25
混合型015126易方达悦鑫一年持有混合C1.03822025-03-250.080.090.311.113.533.104.023.823.821.003.82
混合型014615尚正正鑫混合发起A1.01642025-03-250.000.060.311.427.929.933.601.831.641.561.64
混合型011558天弘宁弘六个月A1.00582025-03-250.05-0.020.310.032.375.814.125.090.58-0.090.58
混合型022491华商恒鑫回报混合C1.00312025-03-210.00-0.240.310.310.310.310.310.310.310.310.31
混合型021795广发稳信六个月持有期混合A1.00222025-03-250.04-0.180.310.210.220.220.220.220.220.280.22
混合型009134汇安嘉利混合C0.99152025-03-250.10-0.130.310.573.743.88-4.12-9.57-0.850.57-0.85
混合型010543中加科鑫混合A0.96172025-03-25-0.04-0.640.310.564.775.012.94-0.15-3.830.82-3.83
混合型013239财通均衡优选一年持有混合C0.87472025-03-25-1.64-5.100.318.8546.8630.9211.061.43-12.537.35-12.53
混合型011586博时产业慧选混合C0.81292025-03-25-0.54-2.110.313.668.754.462.05-0.79-18.714.32-18.71
混合型002028九泰天宝灵活配置混合C0.67042025-03-250.030.090.310.401.12-1.27-37.58-45.67-49.590.36-28.48
混合型010914长盛成长精选混合A0.57982025-03-25-0.58-1.780.310.5734.8125.50-13.32-31.51-42.020.96-42.02
股票型022328宏利高端装备股票C1.00452025-03-260.01-0.140.300.450.450.450.450.450.450.450.45
股票型002906南方中证500量化增强A1.05922025-03-26-0.02-1.020.303.0415.078.41-9.39-14.3714.263.855.92
股票型004193招商中证500指数增强C1.41852025-03-26-0.08-1.000.303.2122.4117.577.2510.6447.275.3841.85
股票型501310华宝沪港深价值指数A1.20772025-03-26-0.17-3.310.305.4112.0529.2632.8934.5641.875.3620.76
股票型161657融通巨潮100指数A(LOF)0.99802025-03-26-0.40-2.060.30-0.609.0715.246.740.9128.370.10451.25
股票型161607融通巨潮100指数A(LOF)0.99802025-03-26-0.40-2.060.30-0.609.0715.246.740.9128.370.10451.25
股票型040190华安上证50ETF联接A1.39962025-03-26-0.51-2.390.30-0.696.6412.716.031.4214.07-0.0739.96
股票型007379易方达上证50ETF联接基金A1.16612025-03-26-0.51-2.420.30-0.795.2611.625.281.1820.65-0.1616.61
股票型020422华夏中证港股通内地金融ETF发起式1.51342025-03-26-0.67-4.260.307.7016.9547.2351.3451.3451.347.3651.34
指数型002906南方中证500量化增强A1.05922025-03-26-0.02-1.020.303.0415.078.41-9.39-14.3714.263.855.92
指数型004193招商中证500指数增强C1.41852025-03-26-0.08-1.000.303.2122.4117.577.2510.6447.275.3841.85
指数型501310华宝沪港深价值指数A1.20772025-03-26-0.17-3.310.305.4112.0529.2632.8934.5641.875.3620.76
指数型161657融通巨潮100指数A(LOF)0.99802025-03-26-0.40-2.060.30-0.609.0715.246.740.9128.370.10451.25
指数型161607融通巨潮100指数A(LOF)0.99802025-03-26-0.40-2.060.30-0.609.0715.246.740.9128.370.10451.25
指数型040190华安上证50ETF联接A1.39962025-03-26-0.51-2.390.30-0.696.6412.716.031.4214.07-0.0739.96
指数型007379易方达上证50ETF联接基金A1.16612025-03-26-0.51-2.420.30-0.795.2611.625.281.1820.65-0.1616.61
指数型020422华夏中证港股通内地金融ETF发起式1.51342025-03-26-0.67-4.260.307.7016.9547.2351.3451.3451.347.3651.34
债券型000118广发聚鑫债券A1.55612025-03-25-0.15-0.940.301.998.227.076.5011.8726.602.01171.78
债券型000333长城稳固收益债券A1.36082025-03-250.20-0.100.301.575.737.048.315.818.720.6638.61
债券型002961中欧双利债券A1.17672025-03-250.14-0.030.300.393.815.137.298.0419.000.2339.99
债券型022591人保鑫瑞中短债债券E1.15242025-03-250.040.180.300.380.980.980.980.980.980.300.98
债券型008820大成景悦中短债A1.15222025-03-250.030.220.300.511.664.006.408.3515.210.3715.21
债券型002757招商招兴3个月定开C1.14922025-03-250.040.240.300.451.653.037.5010.3316.150.1940.59
债券型350006天治稳健双盈债券1.12792025-03-250.120.530.300.989.878.509.169.0519.011.05135.72
债券型013790大成稳安60天滚动持有债券A1.10182025-03-250.040.230.300.341.363.736.639.0410.180.1710.18
债券型009866永赢瑞宁87个月定开债1.09432025-03-250.010.070.300.921.943.957.9612.2919.450.8619.45
债券型016882山证资管裕景30天持有期债券发起1.06392025-03-250.020.120.300.381.182.255.516.396.390.286.39
债券型012773嘉实超短债债券A1.05612025-03-250.030.120.300.291.002.185.517.8810.040.2410.04
债券型006655华泰紫金季季享定开债券发起C1.05312025-03-250.060.340.30-0.220.642.272.622.365.15-0.3214.57
债券型007723鹏华锦润86个月定开债1.04732025-03-210.000.080.300.962.004.178.3012.8119.890.8319.89
债券型020209明亚稳利3个月持有期债券A1.04692025-03-250.010.240.300.210.623.304.694.694.690.094.69
债券型009583淳厚安裕87个月定开债1.04452025-03-210.000.080.301.002.054.278.4913.1720.340.8720.34
债券型009533太平恒泽63个月定开1.04392025-03-210.000.080.300.982.004.158.0812.4818.940.8518.94
债券型019398国投瑞银恒睿添利债券A1.04342025-03-250.030.170.300.421.222.904.344.344.340.334.34
债券型017202山证资管丰盈180天滚动持有中短债1.04162025-03-250.030.130.300.320.992.165.965.645.640.285.64
债券型008676华安鑫浦定开债C1.03042025-03-210.000.080.300.941.964.108.0612.4620.770.8221.51
债券型023168创金合信怡久回报债券E1.02992025-03-250.000.000.300.140.140.140.140.140.140.140.14
债券型020717景顺长城60天持有期债券C1.02952025-03-250.020.090.300.361.122.922.952.952.950.252.95
债券型017450嘉合磐辉纯债C1.02832025-03-250.070.310.300.190.982.254.674.674.670.144.67
债券型020040易方达安嘉30天持有债券A1.02772025-03-250.010.180.300.441.032.182.772.772.770.382.77
债券型970082东海证券海鑫尊利1.02702025-03-250.030.160.300.060.551.261.492.973.150.103.15
债券型009814宏利乐盈66个月定开债A1.02472025-03-250.010.080.300.951.974.037.9612.2118.970.8818.97
债券型020850东方享悦90天滚动持有债券A1.02382025-03-250.040.220.300.290.892.382.382.382.380.242.38
债券型852099海通鑫诚六个月持有C1.02342025-03-25-0.03-0.580.301.507.553.650.782.202.151.282.15
债券型010472易方达年年恒实纯债一年定开C1.01862025-03-250.050.230.300.230.892.927.9410.2915.900.1315.90
债券型022721创金合信尊盛纯债债券C1.01702025-03-250.000.200.300.491.181.181.181.181.180.301.18
债券型020946东方享誉30天滚动持有债券A1.01622025-03-250.010.280.300.651.321.621.621.621.620.571.62
债券型009304恒生前海恒颐五年定开债C1.01022025-03-210.000.080.300.971.984.067.8812.1517.620.8517.62
债券型022304贝莱德安裕90天持有债券C1.00532025-03-250.030.240.300.300.530.530.530.530.530.180.53
债券型013521富荣中短债债券C0.94732025-03-250.020.200.300.371.293.356.91-5.95-5.270.28-5.27
混合型010441东方红启兴三年持有混合B3.63102025-03-25-0.83-4.700.303.798.7810.4610.4610.4610.464.7910.46
混合型016594易方达安心回馈混合C2.35902025-03-25-0.13-0.300.301.294.943.872.52-3.95-3.951.24-3.95
混合型006511博道卓远混合A1.80692025-03-25-1.12-3.270.302.4826.1419.24-5.01-5.3929.695.0780.69
混合型014030大摩健康产业混合C1.66802025-03-250.18-2.800.30-3.196.38-7.49-27.89-41.06-51.23-1.18-51.23
混合型023161博时鑫泰混合D1.52842025-03-250.200.300.30-0.54-0.54-0.54-0.54-0.54-0.54-0.54-0.54
混合型000410益民服务领先混合A1.50122025-03-25-0.27-2.890.3016.4816.5316.8414.431.9062.5316.38396.38
混合型003125中科沃土沃鑫成长精选混合A1.28372025-03-250.22-1.060.30-2.696.285.34-1.120.9434.87-1.7328.37
混合型012943广发稳睿六个月持有混合A1.18812025-03-250.130.030.300.273.6611.3318.0920.5318.810.0318.81
混合型350001天治财富增长混合1.15432025-03-250.721.880.30-3.073.272.31-16.36-23.93-16.28-3.07367.41
混合型009097鹏华安泽混合C1.15122025-03-250.050.100.300.370.520.643.394.2115.120.3715.12
混合型852289海通策略优选混合C1.09152025-03-25-0.31-2.410.301.6015.3312.672.108.238.232.208.23
混合型011243万家惠裕回报6个月持有期混合A1.08342025-03-25-0.03-1.110.301.758.966.784.036.918.342.068.34
混合型022555天弘安康颐利混合F1.04712025-03-250.110.230.30-0.430.760.760.760.760.76-0.470.76
混合型009233鹏华安惠混合C1.02522025-03-250.070.170.300.407.559.44-1.68-2.095.340.195.34
混合型023158上银先进制造混合发起式A1.00222025-03-210.00-0.010.300.220.220.220.220.220.220.220.22
混合型007251广发睿享稳健增利混合A0.97272025-03-250.03-0.060.30-0.084.174.54-0.25-3.03-5.69-0.21-2.73
混合型011702广发睿享稳健增利混合C0.96752025-03-250.03-0.070.30-0.114.124.44-0.43-3.44-12.28-0.23-12.28
混合型004050华夏新锦升混合A0.90742025-03-25-0.29-0.360.303.2324.284.14-17.26-5.419.694.1629.10
混合型009747中科沃土沃鑫成长精选混合C1.26342025-03-250.22-1.060.29-2.746.335.27-1.420.3022.51-1.7822.51
混合型010920鹏华招润一年持有期混合C1.03162025-03-25-0.03-0.210.290.262.135.201.961.673.160.203.16
混合型016678贝莱德浦悦丰利混合A1.02552025-03-25-0.31-0.450.29-0.111.601.702.292.542.540.182.54
混合型009232鹏华安惠混合A1.02212025-03-250.070.170.290.397.529.14-1.69-1.716.490.186.49
混合型014667工银优质发展混合C0.99262025-03-25-0.22-1.550.29-1.6710.2422.32-0.44-0.74-0.740.12-0.74
混合型012014工银聚润6个月持有混合A0.98632025-03-25-0.11-0.390.291.456.347.830.930.03-1.371.49-1.37
混合型020433金信核心竞争力混合C0.95612025-03-25-1.13-4.480.292.4320.8115.119.329.329.321.119.32
混合型010544中加科鑫混合C0.94702025-03-25-0.04-0.640.290.484.574.612.12-1.33-5.300.73-5.30
混合型004051华夏新锦升混合C0.90592025-03-25-0.28-0.360.293.2024.273.66-17.160.000.004.13-17.50
指数型003016中金中证500A1.76982025-03-26-0.14-1.510.293.7021.4917.784.583.7262.115.8976.98
指数型014980华安上证50ETF联接C1.39812025-03-26-0.51-2.390.29-0.746.5412.495.631.39-5.60-0.11-5.60
指数型007380易方达上证50ETF联接基金C1.15932025-03-26-0.51-2.420.29-0.825.2111.495.070.8720.05-0.1915.93
指数型005737博时上证50ETF联接C1.16642025-03-26-0.51-2.420.29-0.666.9313.457.343.0117.75-0.0324.44
指数型020423华夏中证港股通内地金融ETF发起式1.50802025-03-26-0.67-4.260.297.6216.7846.8150.8050.8050.807.2950.80
指数型530010建信上证社会责任ETF联接2.63262025-03-26-0.78-2.050.29-1.405.8914.727.267.9038.81-1.03163.26
债券型110028易方达安心回报债券B1.97622025-03-250.140.140.290.426.097.186.226.5322.89-0.04264.65
债券型006004工银添祥一年定开债券1.29142025-03-250.060.300.290.111.483.848.9511.2618.91-0.1229.14
债券型002404博时裕乾纯债债券C1.19242025-03-250.070.480.290.111.487.7512.7614.9920.00-0.2038.52
债券型003949兴全稳泰债券A1.19022025-03-250.080.460.290.211.483.168.2311.5919.850.0139.92
债券型008509南方得利一年定开债1.14002025-03-250.030.240.290.182.014.348.6411.8023.12-0.1623.12
债券型010626国新国证荣赢63个月定开债1.13622025-03-250.010.070.290.901.883.907.7911.8516.710.8316.71
债券型006074人保鑫瑞中短债债券C1.13482025-03-250.040.190.290.411.122.595.787.968.820.3315.62
债券型011083银河聚利87个月定开债券1.12252025-03-210.000.070.290.941.924.028.0212.3617.540.8117.54
债券型008626南方0-5年江苏城投债A1.11212025-03-250.080.390.290.230.932.546.108.9814.430.1514.52
债券型014097鹏扬利鑫60天滚动持有债券A1.10542025-03-250.030.130.290.240.952.486.7010.6410.540.1610.54
债券型005362中银证券安源债券A1.10522025-03-250.050.260.290.411.164.456.908.9312.030.3417.74
债券型012824富国安利90天滚动持有债券C1.10402025-03-250.050.170.290.240.952.025.788.7010.400.1510.40
债券型013792大成稳安60天滚动持有债券E1.09782025-03-250.040.230.290.311.313.616.398.689.780.169.78
债券型009235景顺长城弘远66个月定开债1.09542025-03-250.010.070.290.901.883.847.7511.9818.730.8418.73
债券型012384宏利中短债债券A1.08862025-03-250.040.210.290.180.892.735.938.528.860.138.86
债券型010482汇添富盛和66个月定开债1.08862025-03-250.010.070.290.901.873.877.8112.0217.640.8417.64
债券型008556易方达裕富债券A1.08832025-03-250.13-0.100.290.644.275.495.428.3217.870.3417.87
债券型010621永赢泰宁63个月定开债1.08152025-03-250.010.060.290.901.843.787.5811.7216.800.8316.80
债券型970204兴证资管金麒麟兴享增利六个月持1.07872025-03-250.08-0.030.290.361.822.573.944.464.460.334.46
债券型007600泰康润颐63个月定开债券1.07812025-03-210.000.070.290.931.913.947.8412.0718.680.8018.68
债券型009816大摩丰裕63个月开放债券1.07642025-03-250.010.070.290.891.863.837.6911.8717.490.8317.49
债券型010462中信保诚嘉润66个月定开债1.06922025-03-210.000.070.290.941.934.008.0312.3618.060.8218.06
债券型020547鹏扬季季鑫90天滚动持有债券E1.06292025-03-250.010.170.290.362.186.046.296.296.290.256.29
债券型008048国联睿享86个月定开债券A1.05682025-03-210.000.080.290.961.954.058.1112.5821.620.8323.28
混合型010186嘉实核心成长混合A0.61972025-03-25-0.77-3.040.294.7121.1312.35-21.64-16.37-38.035.37-38.03
货币型000856摩根天添盈货币B0.90092025-03-250.010.060.290.951.983.967.039.550.001.8611.70
股票型012926民生加银中证500指数增强A0.76482025-03-260.05-1.350.292.7718.917.05-10.73-11.21-23.524.57-23.52
股票型003016中金中证500A1.76982025-03-26-0.14-1.510.293.7021.4917.784.583.7262.115.8976.98
股票型010586创金合信医药消费股票C0.48002025-03-26-0.21-3.110.290.597.91-5.29-32.51-38.81-52.001.59-52.00
股票型014980华安上证50ETF联接C1.39812025-03-26-0.51-2.390.29-0.746.5412.495.631.39-5.60-0.11-5.60
股票型007380易方达上证50ETF联接基金C1.15932025-03-26-0.51-2.420.29-0.825.2111.495.070.8720.05-0.1915.93
股票型005737博时上证50ETF联接C1.16642025-03-26-0.51-2.420.29-0.666.9313.457.343.0117.75-0.0324.44
股票型020423华夏中证港股通内地金融ETF发起式1.50802025-03-26-0.67-4.260.297.6216.7846.8150.8050.8050.807.2950.80
股票型530010建信上证社会责任ETF联接2.63262025-03-26-0.78-2.050.29-1.405.8914.727.267.9038.81-1.03163.26
指数型012926民生加银中证500指数增强A0.76482025-03-260.05-1.350.292.7718.917.05-10.73-11.21-23.524.57-23.52
债券型009748汇丰晋信惠安纯债63个月定开债1.05342025-03-210.000.080.290.921.893.907.7411.9217.370.8017.37
债券型017817鹏扬裕利三年封闭式债券1.05112025-03-250.020.180.290.491.493.227.177.177.170.397.17
债券型008049国联睿享86个月定开债券C1.05082025-03-210.000.080.290.921.903.947.9012.2621.030.8122.64
债券型001246兴银长乐定开债1.05002025-03-250.000.190.290.672.343.048.5413.1623.990.3860.76


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