本页展示场内基金信息,更新时间:2025-03-28 00:00:00

基金类型基金代码基金名称最新净值涨幅%交易总手换手%交易金额振幅%均价3日涨幅%6日涨幅%连涨天数本月涨幅%今年涨幅%近一月涨幅%近一年涨幅%
股票型161031富国中证工业4.0指数(LOF)A1.002-1.761180.091.18万0.101.003-1.47-4.75-1-3.387.40-3.3821.01
股票型LOF161031工业40LOF1.002-1.761180.091.18万0.101.003-1.47-4.75-1-3.387.40-3.3821.01
指数型161031富国中证工业4.0指数(LOF)A1.002-1.761180.091.18万0.101.003-1.47-4.75-1-3.387.40-3.3821.01
T+0外盘ETF159636港股通科技30ETF1.330-1.77 713万5.419.56亿3.251.3410.68-5.41-10.7629.250.7687.85
股票型501302南方恒指ETF联接(LOF)A1.101-1.7826203.9329.17万1.871.114-1.08-4.51-11.9416.881.9445.63
股票型LOF501302恒生指数基金LOF1.101-1.7826203.9329.17万1.871.114-1.08-4.51-11.9416.881.9445.63
指数型501302南方恒指ETF联接(LOF)A1.101-1.7826203.9329.17万1.871.114-1.08-4.51-11.9416.881.9445.63
沪股通ETF588200科创芯片ETF1.546-1.78 1013万6.8515.77亿2.481.557-0.13-4.03-1-5.105.60-5.1054.29
行业主题ETF588200科创芯片ETF1.546-1.78 1013万6.8515.77亿2.481.557-0.13-4.03-1-5.105.60-5.1054.29
股票型LOF160215国泰价值LOF2.013-1.801550.583.12万1.802.0161.16-3.78-1-2.098.52-2.099.05
混合型160215国泰价值经典混合(LOF)2.013-1.801550.583.12万1.802.0161.16-3.78-1-2.098.52-2.099.05
行业主题ETF588990科创芯片ETF博时1.618-1.82 12.4万8.182027万2.371.633-0.31-4.49-1-4.885.48-4.8861.80
T+0外盘ETF520600港股汽车ETF1.185-1.82 251万40.893.00亿2.821.191-0.08-6.99-11.2821.791.2819.34
T+0外盘ETF513180恒生科技指数ETF0.757-1.82 8665万27.1066.13亿3.370.763-0.26-5.61-1-1.0523.90-1.0558.70
行业主题ETF560780芯片设备ETF1.128-1.83 4.22万2.81482万3.311.142-1.14-2.25-1-4.083.49-4.0822.21
T+0外盘ETF159740恒生科技ETF0.743-1.85 2147万25.4816.10亿3.170.750-0.13-5.59-1-0.9324.87-0.9358.76
股票型LOF161837银华大盘定开1.115-1.8512200.4613.62万1.411.116-3.38-4.29-2-0.80-2.62-0.807.52
混合型161837银华大盘两年定开混合1.115-1.8512200.4613.62万1.411.116-3.38-4.29-2-0.80-2.62-0.807.52
沪股通ETF562510旅游ETF0.688-1.85 60.0万5.784155万1.850.693-2.550.00-22.84-3.232.84-6.52
行业主题ETF562510旅游ETF0.688-1.85 60.0万5.784155万1.850.693-2.550.00-22.84-3.232.84-6.52
股票型LOF160806长盛中证800LOF1.578-1.8730.004620.001.577-1.87-1.87-1-0.06-0.94-0.0611.52
指数型160806长盛同庆中证800(LOF)1.578-1.8730.004620.001.577-1.87-1.87-1-0.06-0.94-0.0611.52
股票型160806长盛同庆中证800(LOF)1.578-1.8730.004620.001.577-1.87-1.87-1-0.06-0.94-0.0611.52
行业主题ETF159558半导体设备ETF易方达1.202-1.88 3.50万0.89425万3.101.216-1.23-2.28-1-4.302.91-4.3019.72
沪股通ETF588290科创芯片ETF基金1.506-1.89 98.0万6.291.49亿2.611.521-0.33-4.20-1-5.225.31-5.2253.99
行业主题ETF588290科创芯片ETF基金1.506-1.89 98.0万6.291.49亿2.611.521-0.33-4.20-1-5.225.31-5.2253.99
T+0外盘ETF513010恒生科技ETF易方达0.774-1.90 2626万18.9720.57亿3.420.783-0.39-5.72-1-0.9023.64-0.9057.64
T+0外盘ETF159742恒生科技指数ETF0.765-1.92 374万16.382.89亿3.330.772-0.26-5.90-1-0.2623.79-0.2659.71
行业主题ETF159327半导体设备ETF基金1.222-1.93 8.06万8.10995万3.291.233-1.05-2.40-1-4.462.86-4.4622.69
股票型LOF501065经典成长0.950-1.961260.101.22万1.960.967-1.96-4.43-1-1.96-3.85-1.9610.47
混合型501065汇添富经典成长定开混合0.950-1.961260.101.22万1.960.967-1.96-4.43-1-1.96-3.85-1.9610.47
深股通ETF159516半导体设备ETF1.032-1.99 106万5.121.10亿3.321.045-1.15-2.37-1-4.272.99-4.2720.98
行业主题ETF159516半导体设备ETF1.032-1.99 106万5.121.10亿3.321.045-1.15-2.37-1-4.272.99-4.2720.98
股票型LOF160518博时睿远LOF2.007-2.001020.052.04万0.491.997-2.00-2.67-2-1.574.15-1.5713.13
混合型160518博时睿远2.007-2.001020.052.04万0.491.997-2.00-2.67-2-1.574.15-1.5713.13
T+0外盘ETF513380恒生科技ETF龙头0.687-2.00 620万9.744.30亿3.570.693-0.58-6.02-1-1.1524.23-1.1558.66
T+0外盘ETF513980港股科技50ETF0.728-2.02 1600万10.0711.75亿3.630.7340.55-5.94-10.8333.330.8375.00
T+0外盘ETF513260恒生科技ETF基金1.442-2.04 700万27.9510.20亿3.331.456-0.28-5.81-1-1.0323.14-1.0358.11
基金中的基金501220行业轮动FOF0.900-2.073000.052.68万0.650.894-1.21-3.23-2-0.228.04-0.224.05
T+0外盘ETF513580恒生科技ETF指数基金0.751-2.09 297万8.132.25亿3.390.759-0.53-5.89-1-1.3123.32-1.3156.78
T+0外盘ETF513130恒生科技ETF0.739-2.12 8389万24.8362.54亿3.440.746-0.40-5.98-1-0.6723.99-0.6757.57
T+0外盘ETF159741恒生科技ETF基金0.740-2.12 264万22.001.97亿3.440.747-0.67-6.33-1-1.3323.95-1.3357.45
T+0外盘ETF513890恒生科技HKETF1.136-2.15 88.9万27.031.02亿3.271.147-0.61-5.65-1-0.9624.84-0.9660.00
T+0外盘ETF513160港股科技30ETF1.155-2.20 477万46.085.57亿3.471.168-0.69-7.30-1-2.0425.00-2.0473.95
QDII-LOF160125南方香港LOF1.486-2.24 505万1834.267.92亿12.431.5687.532.55-116.2828.4416.2872.59
QDII型160125南方香港优选股票1.486-2.24 505万1834.267.92亿12.431.5687.532.55-116.2828.4416.2872.59
行业主题ETF159582半导体产业ETF1.424-2.26 13.7万12.491970万3.021.439-1.45-3.20-1-6.132.67-6.1340.57
股票型LOF160527博时研究优选LOF0.774-2.273320.192.58万1.890.776-1.02-4.21-10.915.310.9113.16
混合型160527博时研究优选混合(LOF)A0.774-2.273320.192.58万1.890.776-1.02-4.21-10.915.310.9113.16
沪深指数ETF159918中创400ETF1.882-2.288720.2516.72万2.861.918-3.19-5.24-1-1.313.07-1.3114.76
不动产REITs508097华泰南京建邺REIT3.488-2.30 1.03万0.26362万4.123.5181.165.35-18.5926.018.5936.46
行业主题ETF561980半导体设备ETF1.290-2.35 45.4万7.675920万2.951.303-1.45-3.15-1-6.053.04-6.0537.67
T+0外盘ETF513310中韩半导体ETF1.504-2.40 176万48.702.66亿1.691.514-2.27-5.05-2-2.845.92-2.8422.68
股票型LOF501032财通福盛混合LOF1.111-2.63540.8859950.881.110-0.71-2.46-2-1.86-3.89-1.86-3.89
混合型501032财通福盛混合发起(LOF)A1.111-2.63540.8859950.881.110-0.71-2.46-2-1.86-3.89-1.86-3.89
债券型LOF165517中信保诚双盈LOF0.951-2.76843.1179880.000.951-2.96-5.47-2-4.33-3.06-4.330.63
债券型165517中信保诚双盈债券(LOF)A0.951-2.76843.1179880.000.951-2.96-5.47-2-4.33-3.06-4.330.63
股票型LOF501046财通福鑫定开混合1.921-2.7812780.6224.76万2.991.938-5.28-9.98-8-14.36-22.45-14.360.37
混合型501046财通多策略福鑫定开混合1.921-2.7812780.6224.76万2.991.938-5.28-9.98-8-14.36-22.45-14.360.37
QDII-LOF161229国投中国价值LOF1.459-2.8013973.1820.44万2.731.463-1.62-6.05-12.0313.632.0329.34
QDII型161229国投瑞银中国价值发现股票1.459-2.8013973.1820.44万2.731.463-1.62-6.05-12.0313.632.0329.34
FOF-LOF型161133优势回报FOF-LOF0.824-2.8320.001672.590.835-1.20-5.50-1-3.512.36-3.51-1.55
股票型LOF501098科创建信LOF1.212-3.0460.017270.001.212-1.94-6.19-1-0.4115.43-0.4132.17
混合型501098建信优享科技创新混合(LOF)1.212-3.0460.017270.001.212-1.94-6.19-1-0.4115.43-0.4132.17
股票型LOF160645鹏华精选回报定开0.942-3.1920.001880.000.940-3.48-3.98-22.503.862.50-6.64
混合型160645鹏华精选回报三年定开混合0.942-3.1920.001880.000.940-3.48-3.98-22.503.862.50-6.64
FOF-LOF型162721广发积极FOF-LOF0.913-4.104010.883.76万2.630.938-4.10-3.89-1-0.11-1.40-0.1110.27
债券型LOF160618鹏华丰泽LOF1.484-5.724810.117.14万7.881.485-5.60-5.60-1-5.96-5.12-5.96-2.88
债券型160618鹏华丰泽债券(LOF)C1.484-5.724810.117.14万7.881.485-5.60-5.60-1-5.96-5.12-5.96-2.88
债券型LOF163907中海惠裕LOF0.764-6.834201.763.21万7.440.765-6.72-6.49-1-6.49-6.49-6.49-4.50
债券型163907中海惠裕纯债发起式0.764-6.834201.763.21万7.440.765-6.72-6.49-1-6.49-6.49-6.49-4.50


1、默认按“日涨幅%”排序提供信息查看,如需定制查看方式请联系站上客服咨询。
2、按"最新净值"排序,可以查看基金的净值大小进行分析,查看最新净值排序。
3、按"近1周%"排序,可以查看基金最近一周的涨幅情况,查看近1周%排序。
4、按"近1月%"排序,可以查看基金最近一月的涨幅情况,查看近1月%排序。
5、按"近3月%"排序,可以查看基金最近三月的涨幅情况,查看近3月%排序。
6、按"近6月%"排序,可以查看基金最近六月的涨幅情况,查看近6月%排序。
7、按"近1年%"排序,可以查看基金最近一年的涨幅情况,查看近1年%排序。


图看指数创业小盘 上证380 科创50 上证指数 深成指R 创业200 北证50 深证综指 中证A100 中小300 深证300 新指数 中证200 创业板指 中证1000
友情链接域名抢注工具  霸屏优化  網址搜尋引擎  Search website  起名  温泉度假村设计  Código fuente del motor de búsqueda  网站搜索引擎入口  美国vps租用  网址搜尋器 
财经名站证券之星  兴业证券  臺灣證券交易所  中華交易服務  深圳证券交易所  海通证券  金投网  中财网  环渤海财经  财经网