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%
债券型020820华夏短债债券D1.09052025-03-250.020.080.200.270.792.132.192.192.190.192.19
债券型019881中信保诚稳达E1.09052025-03-250.250.84-0.13-0.301.103.627.287.287.28-0.847.28
债券型015517建信鑫恒120天滚动持有中短债债券1.09052025-03-250.020.120.190.130.912.455.569.059.05-0.019.05
债券型014857建信鑫享短债债券C1.09052025-03-250.030.150.200.261.082.435.919.059.050.179.05
债券型013800财通安裕30天持有期中短债C1.09052025-03-250.040.170.170.170.691.854.948.899.050.099.05
债券型009676国联融慧双欣一年定开债券C1.09052025-03-250.090.260.630.352.794.597.419.0713.290.0413.29
混合型021501信澳科技驱动混合A1.09052025-03-25-2.01-6.10-3.659.069.059.059.059.059.059.339.05
混合型019116东财卓越成长C1.09052025-03-25-1.99-7.13-3.806.3027.693.849.059.059.057.589.05
混合型005226山证资管改革精选混合1.09042025-03-250.07-0.762.380.8910.753.25-13.11-5.3515.140.709.03
混合型002768华安安进灵活配置混合发起式A1.09042025-03-25-0.70-1.624.57-1.807.9215.251.64-4.1726.12-0.7439.69
债券型014468平安元和90天滚动持有短债A1.09042025-03-250.020.120.230.320.892.415.809.049.040.239.04
债券型013975国投瑞银恒誉90天持有期中短债C1.09042025-03-250.020.130.260.230.842.065.288.749.040.169.04
指数型180003银华-道琼斯88指数1.09032025-03-26-0.40-2.13-0.690.716.634.39-8.17-15.1019.781.74495.75
债券型001213华润元大稳健债券C1.09032025-03-250.050.270.07-0.240.683.004.844.142.86-0.3211.15
股票型180003银华-道琼斯88指数1.09032025-03-26-0.40-2.13-0.690.716.634.39-8.17-15.1019.781.74495.75
混合型010776博时恒旭持有期混合C1.09032025-03-25-0.08-0.631.272.959.8612.7611.0310.629.033.049.03
混合型013226景顺长城安景一年持有期混合C1.09022025-03-25-0.05-0.11-0.14-0.102.273.986.369.419.02-0.029.02
债券型970088东吴安鑫中短债B1.09022025-03-250.020.110.170.351.152.716.228.249.020.299.02
债券型022993中信保诚稳瑞债券D1.09022025-03-250.020.130.180.120.080.080.080.080.08-0.030.08
债券型018570华宝安元债券A1.09022025-03-250.06-0.17-0.482.057.727.389.029.029.021.979.02
债券型006409富国中债-1-3年国开行债券指数A1.09022025-03-25-0.010.080.15-0.051.393.477.359.8615.77-0.2323.25
债券型005573东吴悦秀纯债债券A1.09022025-03-250.030.14-0.18-0.650.712.916.428.6012.57-0.8423.56
债券型004681万家安弘纯债A1.09022025-03-210.000.010.050.060.892.586.008.5515.82-0.0233.47
债券型003983鹏华丰惠债券1.09022025-03-250.040.260.120.091.162.776.459.5215.97-0.0734.28
债券型001693招商招利1个月期理财债券C1.09022025-03-250.010.100.170.200.491.222.974.508.490.179.02
债券型000809招商招利1个月期理财债券B1.09022025-03-250.010.100.170.200.491.222.974.508.500.179.02
债券型000808招商招利1个月期理财债券A1.09022025-03-250.010.100.170.200.491.222.974.508.500.179.02
股票型519965长信量化多策略股票A1.09022025-03-26-0.39-1.860.152.4611.4215.945.23-6.1238.603.2268.68
股票型016788万家国证2000ETF发起联接A1.09012025-03-260.61-3.69-2.164.6133.4121.390.539.019.017.729.01
股票型013641博道成长智航股票A1.09012025-03-260.39-2.460.137.3936.7834.9520.1928.419.019.789.01
股票型021223华泰柏瑞中证A50ETF发起式联接C1.09012025-03-26-0.43-2.380.110.177.899.019.019.019.010.879.01
股票型022886鹏华国证有色金属行业ETF发起式联1.09012025-03-26-0.50-0.976.679.019.019.019.019.019.0111.019.01
指数型016788万家国证2000ETF发起联接A1.09012025-03-260.61-3.69-2.164.6133.4121.390.539.019.017.729.01
混合型019148富国腾享回报6个月滚动持有E1.09012025-03-25-0.30-0.93-2.060.062.594.073.533.533.530.153.53
混合型018918华夏清洁能源龙头混合发起式A1.09012025-03-25-0.14-1.562.47-4.90-0.322.959.019.019.01-3.079.01
混合型012270富国腾享回报6个月滚动持有A1.09012025-03-25-0.30-0.93-2.060.062.594.074.256.569.010.159.01
指数型021223华泰柏瑞中证A50ETF发起式联接C1.09012025-03-26-0.43-2.380.110.177.899.019.019.019.010.879.01
指数型022886鹏华国证有色金属行业ETF发起式联1.09012025-03-26-0.50-0.976.679.019.019.019.019.019.0111.019.01
债券型014769财通资管双福9个月持有债券发起式1.09012025-03-250.151.030.740.832.544.106.339.019.010.679.01
债券型014013蜂巢丰吉纯债C1.09012025-03-250.030.170.310.391.954.1410.2012.9313.350.0813.35
债券型006777华夏鼎略债券C1.09012025-03-250.010.060.01-0.27-0.140.292.003.688.37-0.3012.48
债券型003277中信保诚稳瑞债券A1.09012025-03-250.020.130.170.110.752.585.568.0713.10-0.0528.97
债券型970141国元元赢30天持有期债券C1.09002025-03-250.020.090.120.090.661.825.118.208.200.058.20
债券型018491格林聚合增强债券A1.09002025-03-25-0.15-1.07-1.332.627.407.148.998.998.992.738.99
债券型009584华富63个月定期开放债券1.09002025-03-210.000.070.280.891.823.767.4411.4317.770.7817.77
股票型019271财通中证1000指数增强C1.09002025-03-260.50-1.060.486.1026.2918.089.009.009.008.979.00
指数型019271财通中证1000指数增强C1.09002025-03-260.50-1.060.486.1026.2918.089.009.009.008.979.00
混合型020654恒生前海兴泰混合C1.09002025-03-250.721.143.97-2.0111.299.019.009.009.00-2.109.00
混合型015369国泰君安领航成长一年持有混合发1.09002025-03-25-1.49-5.20-8.263.5650.5135.728.649.009.005.399.00
混合型009697华夏成长精选6个月定开混合A1.09002025-03-25-0.73-5.19-1.5118.5054.5948.7919.56-10.109.0020.689.00
混合型001411诺安创新驱动混合A1.09002025-03-25-0.91-5.71-9.621.2139.9216.95-2.591.584.213.4221.83
债券型005072中银丰进定期开放债券1.08992025-03-250.030.160.04-0.060.752.936.008.6512.77-0.2232.60
债券型004615鹏扬利泽债券C1.08992025-03-250.030.160.17-0.020.651.925.057.8613.05-0.1125.56
债券型519719交银纯债债券发起A1.08982025-03-250.060.290.090.010.852.807.069.8716.92-0.1461.12
债券型519718交银纯债债券发起A1.08982025-03-250.060.290.090.010.852.807.069.8716.92-0.1461.12
债券型090021大成月添利一个月滚动持有中短债A1.08982025-03-250.030.190.170.171.062.245.176.630.000.098.98
债券型015530鹏华稳福中短债债券A1.08982025-03-250.020.100.180.240.832.187.988.988.980.138.98
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006070银河沃丰债券A1.08982025-03-250.030.210.160.041.414.098.9912.2717.57-0.2526.27
债券型003417中加丰泽纯债债券A1.08982025-03-250.070.370.140.111.033.559.0712.3318.49-0.2343.39
混合型014944蜂巢润和六个月持有期混合A1.08982025-03-250.29-0.020.041.846.088.1311.028.988.980.498.98
混合型013612工银民瑞一年持有混合C1.08982025-03-25-0.14-0.420.551.837.337.845.359.188.981.778.98
混合型013260太平睿享混合A1.08982025-03-250.650.220.760.9912.6611.019.9310.038.981.068.98
股票型019125博道红利智航股票C1.08982025-03-26-0.060.312.59-0.246.918.4414.1914.1914.19-0.6514.19
债券型023048南方通利债券E1.08972025-03-250.180.78-0.33-1.18-1.18-1.18-1.18-1.18-1.18-1.18-1.18
债券型013978惠升和赢纯债3个月定开A1.08972025-03-250.040.17-0.13-0.621.123.958.5710.6511.27-0.8011.27
债券型011187中加穗盈纯债债券1.08972025-03-250.060.30-0.29-0.860.462.816.118.3411.71-1.0711.71
债券型007186华夏中债3-5年政金债指数A1.08972025-03-250.070.35-0.20-0.730.894.355.357.8114.42-0.8318.62
混合型021845创金合信鑫瑞混合E1.08972025-03-250.100.040.460.865.804.834.834.834.830.864.83
混合型006586南方安裕混合C1.08972025-03-250.110.261.03-0.524.104.873.283.7617.50-0.3935.02
混合型011447长江新能源产业混合发起C1.08962025-03-25-1.22-5.00-7.404.9119.1514.13-11.77-20.658.966.548.96
混合型010688招商瑞德一年持有期混合A1.08962025-03-250.070.060.901.236.396.134.885.518.961.058.96
混合型004226国寿安保稳诚混合C1.08962025-03-25-0.06-0.48-0.950.566.767.715.796.7830.910.9350.34
债券型007741天弘信益债券C1.08962025-03-250.080.360.200.351.354.437.8210.8413.74-0.1116.57
指数型019001华夏中证智选500价值稳健策略ETF1.08952025-03-26-0.16-0.571.980.6112.1810.258.958.958.951.388.95
指数型012606东财证券保险C1.08952025-03-26-0.20-3.11-2.27-6.3810.2229.8422.1726.038.95-4.578.95
债券型022289银河沃丰债券C1.08952025-03-250.030.200.150.041.531.531.531.531.53-0.261.53
债券型022162交银纯债债券发起D1.08952025-03-250.060.290.090.010.860.940.940.940.94-0.140.94
债券型022099平安双盈添益债券E1.08952025-03-250.06-0.03-0.080.190.760.960.960.960.960.130.96
债券型016967南方旺元60天滚动持有中短债E1.08952025-03-250.050.290.02-0.160.501.614.565.685.68-0.275.68
股票型019001华夏中证智选500价值稳健策略ETF1.08952025-03-26-0.16-0.571.980.6112.1810.258.958.958.951.388.95
股票型012606东财证券保险C1.08952025-03-26-0.20-3.11-2.27-6.3810.2229.8422.1726.038.95-4.578.95
债券型015240山证资管裕享增强债券发起式C1.08942025-03-25-0.22-0.90-0.870.506.296.228.058.948.940.508.94
债券型014446鹏华稳瑞中短债A1.08942025-03-250.020.100.150.300.752.295.828.258.940.178.94
债券型012140太平丰泰一年定开债券发起式1.08942025-03-250.230.090.540.595.597.318.4610.0110.550.6410.55
债券型006191华夏鼎通债券A1.08942025-03-250.050.25-0.22-0.561.384.899.5712.5419.21-0.8929.52
指数型012644招商中证红利ETF联接C1.08932025-03-26-0.150.303.37-0.562.695.8212.6316.8114.64-1.3614.64
债券型091002大成债券A/B1.08932025-03-250.13-0.48-0.780.654.055.074.826.8017.050.51262.69
债券型090002大成债券A/B1.08932025-03-250.13-0.48-0.780.654.055.074.826.8017.050.51262.69
债券型023274万家安弘纯债D1.08932025-03-210.000.00-0.18-0.14-0.14-0.14-0.14-0.14-0.14-0.14-0.14
债券型020327华泰保兴尊益利率债6个月持有债券1.08932025-03-250.311.40-1.400.563.138.908.938.938.93-1.318.93
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015403长江丰瑞3个月持有期债券C1.08932025-03-250.080.160.000.001.553.277.468.938.93-0.168.93
股票型012644招商中证红利ETF联接C1.08932025-03-26-0.150.303.37-0.562.695.8212.6316.8114.64-1.3614.64
债券型014512英大安盈30天滚动持有债券发起式C1.08922025-03-250.030.210.230.722.684.346.698.928.920.398.92
债券型009338万家民瑞祥和6个月持有债A1.08922025-03-250.380.90-0.80-0.540.632.715.537.4415.13-0.9815.13
债券型004825平安惠泽纯债1.08922025-03-250.050.150.280.391.893.628.0110.0216.940.3640.61
指数型502048易方达上证50指数(LOF)A1.08912025-03-26-0.51-2.410.33-0.657.7814.036.482.3722.050.0013.48
债券型020344交银裕盈纯债债券D1.08912025-03-250.050.24-0.20-0.471.102.933.973.973.97-0.763.97
债券型018506创金合信益久9个月持有期债券A1.08912025-03-250.070.050.530.245.808.218.918.918.910.178.91
股票型006787泰康港股通大消费指数C1.08912025-03-261.29-5.55-2.4317.8619.9733.704.8812.3120.4119.318.91
股票型015895平安中证消费电子主题ETF发起式联1.08912025-03-260.02-3.68-8.79-1.4131.0432.838.998.918.912.198.91
股票型502048易方达上证50指数(LOF)A1.08912025-03-26-0.51-2.410.33-0.657.7814.036.482.3722.050.0013.48
指数型006787泰康港股通大消费指数C1.08912025-03-261.29-5.55-2.4317.8619.9733.704.8812.3120.4119.318.91
指数型015895平安中证消费电子主题ETF发起式联1.08912025-03-260.02-3.68-8.79-1.4131.0432.838.998.918.912.198.91
混合型010239平安瑞尚六个月持有混合A1.08912025-03-25-0.42-1.773.234.256.3012.4917.596.828.914.398.91
混合型012077易方达悦夏一年持有混合A1.08902025-03-250.080.210.501.274.234.697.498.838.901.128.90
混合型004833先锋聚利混合A1.08902025-03-25-0.63-3.47-3.524.0948.1440.2118.9420.9915.954.708.89
债券型310508申万菱信稳益宝债券A1.08902025-03-250.000.180.000.001.112.745.442.935.31-0.2781.56
债券型003135金元顺安沣楹债券1.08902025-03-25-0.06-0.42-0.680.103.341.121.590.388.980.4125.80
债券型014073汇安裕同纯债债券C1.08892025-03-250.000.090.05-0.270.812.838.5411.1211.12-0.5411.12
债券型011091工银双玺6个月持有期债券A1.08892025-03-250.00-0.230.230.294.016.557.9510.428.890.178.89
债券型004639华夏恒慧一年定开债券1.08892025-03-250.030.220.150.291.363.528.2411.4917.99-0.2217.99
混合型016844红土创新稳益6个月持有期混合A1.08892025-03-25-0.14-0.260.870.232.023.808.888.898.890.058.89
混合型015589国泰金马稳健混合C1.08882025-03-25-1.75-5.63-4.9516.4126.9412.50-6.97-1.84-1.8417.42-1.84
混合型013524富国悦享回报12个月持有期混合A1.08882025-03-250.09-0.120.671.906.766.867.429.988.881.478.88
债券型016482兴证全球恒信债券C1.08882025-03-250.070.35-0.01-0.031.313.127.908.888.88-0.358.88
债券型009237兴业绿色纯债一年定开债券A1.08882025-03-210.000.17-0.060.191.995.038.5911.6618.050.0118.05
债券型002927长盛盛和纯债A1.08882025-03-250.060.350.140.141.383.698.5011.8417.67-0.1429.03
债券型970207国信睿丰债券C1.08872025-03-250.140.16-0.110.211.833.137.568.878.87-0.018.87
债券型023676长盛盛和纯债D1.08872025-03-250.060.340.320.320.320.320.320.320.320.320.32
债券型015728中泰双利债券C1.08872025-03-250.01-0.010.14-0.292.584.968.358.878.87-0.278.87
债券型014484汇添富中债1-3年隐含评级AA+及以1.08872025-03-250.040.170.180.030.912.846.799.6810.08-0.1010.08
债券型002188鹏华丰华债券1.08872025-03-250.060.290.190.211.353.528.2910.6016.960.0040.68
混合型021502信澳科技驱动混合C1.08872025-03-25-2.02-6.12-3.708.888.878.878.878.878.879.198.87
混合型012409广发恒昌一年持有混合C1.08872025-03-25-0.14-0.860.962.199.478.205.8310.008.872.278.87
股票型016337博时卓远成长一年持有股票C1.08872025-03-260.17-2.02-1.583.6122.2218.21-0.738.878.873.548.87
股票型021201华夏中证装备产业ETF发起式联接C1.08872025-03-260.05-1.36-0.800.3614.938.878.878.878.871.148.87
指数型021201华夏中证装备产业ETF发起式联接C1.08872025-03-260.05-1.36-0.800.3614.938.878.878.878.871.148.87
债券型018784信澳鑫瑞6个月持有期债券A1.08862025-03-25-0.04-0.190.530.515.815.428.868.868.860.818.86
债券型014741财通资管鸿商中短债C1.08862025-03-250.040.180.110.070.792.056.518.788.86-0.078.86
债券型014012蜂巢丰吉纯债A1.08862025-03-250.040.170.320.422.044.3810.7813.8614.310.1014.31
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
QDII型019630银华美元债精选债券(QDII)D1.08862025-03-24-0.130.140.811.962.085.966.126.126.121.806.12
QDII型007204银华美元债精选债券(QDII)A1.08862025-03-24-0.130.150.811.972.085.966.257.2313.831.8014.61
混合型020843联博智选混合C1.08862025-03-25-0.39-1.251.701.2713.448.868.868.868.862.148.86
债券型970143太平洋证券30天滚动持有债券C1.08852025-03-250.000.000.030.120.421.515.438.568.560.098.56
债券型018958富国双债增强债券E1.08852025-03-25-0.12-0.870.831.617.717.203.643.643.641.763.64
债券型016017长盛恒盛利率债C1.08852025-03-25-0.010.21-0.73-0.560.634.677.468.858.85-1.488.85
债券型012050天弘安盈一年持有C1.08842025-03-25-0.01-0.310.570.283.205.245.305.318.840.248.84
债券型010619华安添利6个月债券A1.08842025-03-25-0.09-0.580.430.023.805.107.848.738.840.298.84
债券型000289鹏华丰泰定开债A1.08842025-03-250.020.100.180.202.134.417.459.6915.87-0.1071.33
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004978富国聚利三个月定开债1.08832025-03-250.040.220.17-0.130.593.177.8611.6320.25-0.3538.65
指数型502053长盛中证证券公司指数(LOF)A1.08822025-03-26-0.06-2.78-3.18-7.3416.4226.9222.3520.3639.14-4.8722.84
指数型020096富国中证绿色电力ETF发起式联接C1.08822025-03-26-0.650.932.07-3.49-1.400.238.828.828.82-3.258.82
债券型016212中银证券安添3个月定开债A1.08822025-03-240.070.430.020.621.924.898.438.828.82-0.228.82
债券型006913南方华元A1.08822025-03-250.040.320.200.131.093.637.5410.4817.09-0.1923.11
股票型502053长盛中证证券公司指数(LOF)A1.08822025-03-26-0.06-2.78-3.18-7.3416.4226.9222.3520.3639.14-4.8722.84


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