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003302华夏鼎融债券C1.15432025-03-250.07-0.160.510.383.284.365.554.4720.130.1030.49
QDII型000593易方达标普消费品指数美元现汇A0.40352025-03-240.40-1.08-7.96-2.913.28-5.04-3.47-0.7479.41-1.7872.22
债券型022329中泰安弘债券C1.03452025-03-250.110.510.140.993.283.283.283.283.280.443.28
混合型002494兴业聚盈混合A1.48562025-03-25-0.02-0.21-0.360.093.283.574.754.8621.170.0348.56
混合型009526广发聚荣一年持有混合C1.13542025-03-25-0.01-0.250.060.583.283.425.017.0213.540.3813.54
混合型011770富国精诚回报12个月持有期混合C1.00052025-03-25-0.52-0.820.731.283.281.041.352.000.051.300.05
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017886国富安颐稳健6个月持有期混合A1.07642025-03-25-0.03-0.200.410.893.277.227.647.647.640.757.64
混合型010019招商瑞泽一年持有期混合C1.07322025-03-25-0.07-0.350.580.753.273.383.475.567.320.847.32
QDII型016055博时纳斯达克100ETF发起式联接(QD1.55782025-03-242.272.10-4.77-6.773.279.6056.7255.7855.78-3.4555.78
债券型008470朱雀安鑫回报债券C1.19992025-03-25-0.36-1.01-0.621.603.273.583.464.9419.801.6719.99
混合型014731华富荣盛一年持有期混合C1.05382025-03-250.20-0.19-0.160.763.263.775.885.885.880.725.88
混合型022276汇添富弘悦回报混合发起式A1.03262025-03-25-0.18-0.441.802.113.263.263.263.263.261.863.26
债券型016425广发集汇债券C1.05262025-03-25-0.03-0.390.710.583.264.564.435.265.260.615.26
混合型910004东方红启恒三年持有混合A9.39852025-03-250.02-0.562.57-0.853.267.69-2.03-2.37-19.74-0.05-19.74
混合型001470融通通鑫灵活配置混合1.77602025-03-250.170.280.06-0.223.265.462.2527.1346.53-0.0688.19
债券型014385华富安业一年持有债券A1.04082025-03-25-0.03-0.310.080.873.255.064.504.084.080.824.08
债券型162210宏利集利债券A1.17282025-03-25-0.05-0.56-1.47-1.283.255.446.508.1622.20-1.45139.09
债券型017149天弘稳健回报债券发起A1.06652025-03-250.080.010.250.363.254.466.796.656.650.236.65
股票型020140国寿安保品质消费股票发起式A0.90812025-03-261.28-3.592.320.973.25-10.49-9.19-9.19-9.192.36-9.19
股票型022485国金中证A500指数增强A1.03252025-03-260.03-0.841.612.723.253.253.253.253.253.343.25
指数型022485国金中证A500指数增强A1.03252025-03-260.03-0.841.612.723.253.253.253.253.253.343.25
混合型011097达诚宜创精选混合A0.62262025-03-25-0.32-1.69-0.56-1.723.250.60-10.57-9.02-37.740.32-37.74
QDII型019736宝盈纳斯达克100指数发起(QDII)A1.10602025-03-242.081.92-5.03-7.033.2510.6010.6010.6010.60-3.7510.60
混合型002820招商丰美混合C1.20802025-03-250.08-0.901.77-1.793.255.04-0.256.1132.64-2.7464.65
混合型009332博时恒裕持有期混合A0.98492025-03-250.140.000.590.343.252.601.902.15-1.510.38-1.51
混合型011588前海开源成份精选混合0.67702025-03-250.431.144.111.503.250.43-4.03-13.17-32.301.36-32.30
混合型008356中加科丰价值精选混合1.14152025-03-250.03-0.190.190.093.242.593.667.1628.990.0428.99
混合型010781兴业聚申一年持有期混合A1.05742025-03-250.01-0.24-0.320.103.243.443.583.155.740.065.74
股票型004371景顺长城中证科技传媒通信150ETF0.73302025-03-260.00-4.68-9.513.243.243.243.243.243.243.243.24
指数型004371景顺长城中证科技传媒通信150ETF0.73302025-03-260.00-4.68-9.513.243.243.243.243.243.243.243.24
混合型014977华安生态优先混合C2.29502025-03-25-1.92-6.06-4.93-4.733.24-9.25-34.47-32.34-32.34-3.37-32.34
债券型017763银河领先债券C1.24712025-03-250.03-0.05-0.070.983.248.8210.0710.9210.920.8010.92
债券型000997南方双元A1.22732025-03-250.06-0.23-0.120.523.243.575.98-4.937.470.2925.84
债券型660002农银恒久增利债券A1.20372025-03-250.11-0.220.050.813.242.714.656.7911.700.80107.83
债券型970188申万宏源双季增享6个月债券A1.08742025-03-250.03-0.090.190.353.244.427.238.438.430.308.43
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
QDII型017970摩根海外稳健配置混合(QDII-FOF)1.07892025-03-240.010.200.350.773.244.297.897.897.890.647.89
混合型001380鹏华弘盛混合C2.10182025-03-25-0.24-0.53-0.58-0.093.234.053.504.2615.81-0.10110.18
混合型019788上银丰瑞一年持有期混合发起式C1.15342025-03-250.321.08-0.34-0.103.239.4015.3415.3415.34-0.2615.34
混合型022705银河科技成长混合发起式C1.03232025-03-25-1.75-6.28-12.583.233.233.233.233.233.233.243.23
混合型091006大成2020生命周期混合A0.97532025-03-250.100.170.770.453.235.316.368.7330.740.17215.56
混合型090006大成2020生命周期混合A0.97532025-03-250.100.170.770.453.235.316.368.7330.740.17215.56
股票型010387易方达医药生物股票A0.64812025-03-260.89-2.990.488.603.237.43-1.137.23-35.199.25-35.19
债券型128112国投瑞银优化增强债券C1.28932025-03-250.08-0.120.21-0.213.233.484.868.8622.56-0.32131.88
债券型253061国联安信心增长债券B1.09492025-03-250.43-1.01-0.191.943.220.282.162.8610.432.0443.61
债券型017150天弘稳健回报债券发起C1.06432025-03-250.080.010.240.343.224.366.596.436.430.216.43
债券型018602长城集利债券发起式C1.05942025-03-25-0.05-0.120.150.103.223.785.945.945.940.095.94
混合型017988易方达国企主题混合C0.89492025-03-25-0.23-2.32-1.26-2.343.22-0.20-10.51-10.51-10.51-2.47-10.51
混合型009507国金鑫意医药消费A0.56792025-03-25-0.32-1.563.35-0.613.22-9.28-31.52-37.27-43.210.67-43.21
QDII型018043天弘纳斯达克100指数发起(QDII)A1.50122025-03-242.051.87-5.01-7.213.227.6050.1250.1250.12-3.8550.12
债券型019042浦银安盛稳健富利180天持有债券C1.04992025-03-25-0.02-0.15-0.070.573.224.014.994.994.990.414.99
股票型005267嘉实价值精选股票2.03612025-03-26-0.98-1.832.920.963.228.681.5510.7488.341.33103.61
股票型020196汇添富中证红利ETF发起式联接C1.07862025-03-26-0.140.283.22-0.853.216.5911.6611.6611.66-1.6311.66
股票型021100博时中证红利ETF发起式联接C1.03092025-03-26-0.150.303.36-0.303.213.093.093.093.09-1.143.09
指数型020196汇添富中证红利ETF发起式联接C1.07862025-03-26-0.140.283.22-0.853.216.5911.6611.6611.66-1.6311.66
指数型021100博时中证红利ETF发起式联接C1.03092025-03-26-0.150.303.36-0.303.213.093.093.093.09-1.143.09
债券型007520富安达富利纯债A1.13222025-03-250.040.270.381.323.215.889.7112.2919.621.1522.08
混合型013029嘉实鑫泰一年持有混合A1.04102025-03-250.070.12-1.22-0.033.215.033.735.134.10-0.464.10
混合型519652银河鑫利混合A1.41302025-03-25-0.28-1.05-1.60-2.153.212.84-1.53-4.3931.30-2.0155.63
混合型005330汇添富民安增益定开混合C1.40352025-03-250.090.191.151.053.212.512.787.2426.090.6340.35
债券型020285东方红汇享债券C1.03072025-03-25-0.11-0.34-0.38-0.133.202.963.073.073.07-0.023.07
债券型014116上银慧恒收益增强债券C0.85822025-03-250.26-1.66-3.150.553.209.280.76-5.59-14.200.21-14.20
债券型372010摩根强化回报债券A1.61432025-03-25-0.06-0.41-0.210.173.204.223.045.8413.660.1169.45
债券型400016东方强化收益债券1.28872025-03-250.25-0.190.230.673.203.632.353.3910.750.5264.24
债券型012603富安达富利纯债C1.14322025-03-250.040.260.441.363.205.819.5112.0116.031.2016.03
债券型006738工银瑞信添慧债券A1.11352025-03-250.19-0.060.58-0.213.204.14-4.94-7.285.93-0.2911.35
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019082山证资管中债1-3年国开债指数C1.08452025-03-250.040.120.080.733.208.458.458.458.450.228.45
债券型006833鹏扬添利增强债券C1.07972025-03-25-0.02-0.160.19-0.123.204.244.796.1913.75-0.1721.89
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008906嘉合锦鹏添利混合C1.11142025-03-250.14-0.460.320.813.19-1.18-4.812.9011.141.0511.14
混合型014852嘉实添惠一年持有期混合A1.10502025-03-250.060.24-0.850.963.194.136.4911.1410.500.5610.50
混合型011072鹏华安悦一年持有期混合C0.99312025-03-25-0.55-1.11-0.342.073.193.943.231.36-0.691.96-0.69
债券型013232浙商智多盈债券C1.04262025-03-250.030.140.600.403.196.0510.056.734.260.034.26
债券型015969博时富尊一年定开债发起式1.04232025-03-210.000.000.030.693.194.259.0310.5210.520.5610.52
债券型012398南方佳元6个月持有债券C1.10472025-03-250.070.040.480.233.194.946.739.3510.470.0710.47
债券型001957嘉合磐通债券A1.10102025-03-250.07-0.18-0.030.793.191.041.727.8014.010.8333.84
债券型000876建信稳定得利债券C1.39402025-03-250.070.000.000.223.184.033.645.4516.690.1452.05
债券型006828银河久泰债券A1.13882025-03-250.100.50-0.350.353.1812.8617.5620.8027.81-0.3240.31
股票型021168中泰红利量化选股股票发起C1.03562025-03-26-0.61-0.492.35-1.583.183.563.563.563.56-1.483.56
混合型240022华宝资源优选混合A3.37702025-03-250.21-0.306.904.323.182.024.94-1.89133.385.40263.79
混合型003434博时鑫泽灵活配置混合A1.81702025-03-25-0.33-2.10-0.55-1.253.18-1.30-10.18-10.0026.44-0.8290.88
混合型005901诺安汇利混合A1.40882025-03-250.090.210.350.553.18-10.73-11.73-8.9328.660.1740.88
债券型022264鹏华丰诚债券E1.03172025-03-250.16-0.090.140.573.173.173.173.173.170.523.17
混合型000063长盛电子信息主题灵活配置混合1.36702025-03-25-1.94-7.01-10.65-8.503.17-2.43-18.92-25.83-17.20-6.0536.70
债券型020504中信保诚稳鑫债券D1.14352025-03-250.130.58-0.51-0.023.173.173.173.173.17-0.693.17
混合型022119平安产业趋势混合A1.03172025-03-25-2.56-7.05-9.693.173.173.173.173.173.173.173.17
混合型017739大成2020生命周期混合C0.97272025-03-250.100.160.760.413.175.206.196.076.070.146.07
股票型021947广发中证光伏产业指数F0.57212025-03-261.11-0.61-1.58-2.573.173.173.173.173.170.123.17
指数型021947广发中证光伏产业指数F0.57212025-03-261.11-0.61-1.58-2.573.173.173.173.173.170.123.17
QDII型000906广发全球精选股票(QDII)美元A0.53142025-03-241.881.26-3.82-5.783.164.6167.2637.81143.43-2.78181.01
债券型010485中航瑞晨87个月定开债A1.03452025-03-240.971.051.312.023.165.4510.0915.3221.551.8821.55
债券型010486中航瑞晨87个月定开债C1.03242025-03-240.971.061.292.003.165.339.8815.1721.311.8521.31
债券型021346永赢汇享债券C1.03182025-03-250.080.040.011.043.163.183.183.183.180.573.18
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
混合型005956易方达鑫转添利混合C1.76932025-03-250.190.110.10-0.753.165.007.889.8523.87-0.9476.93
债券型012399南方永元一年持有债券A1.04852025-03-250.130.140.45-0.043.155.585.847.214.85-0.194.85
混合型023177安信灵活配置混合C2.14012025-03-250.02-2.34-2.793.153.153.153.153.153.153.153.15
混合型003435博时鑫泽灵活配置混合C1.80302025-03-25-0.33-2.06-0.50-1.263.15-1.42-10.39-10.3025.73-0.8389.43
混合型002118广发安盈混合A1.51662025-03-250.060.200.110.763.156.200.500.3039.780.1951.66
债券型002947大成景盛一年定开债C1.13112025-03-250.11-0.110.04-0.223.153.832.483.4813.85-0.1919.05
股票型023098安信消费医药股票C1.12942025-03-260.28-2.811.473.153.153.153.153.153.154.103.15
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012834交银鸿信一年持有期混合C1.03592025-03-25-0.11-0.240.551.563.155.234.915.213.591.563.59
混合型021202汇添富均衡回报混合发起式A1.02962025-03-25-1.11-4.620.541.953.152.962.962.962.962.982.96
混合型018703南方誉民稳健一年持有混合A1.03802025-03-250.01-0.010.820.923.143.723.803.803.800.893.80
债券型016759东吴添利三个月定开债券A1.08792025-03-250.060.37-0.220.893.145.7310.7310.8410.84-0.1010.84
债券型007315汇安嘉盈一年持有期债券A0.91092025-03-25-0.02-0.35-0.190.553.14-0.40-5.75-10.12-8.910.76-8.91
混合型009648中欧睿达6个月持有混合C1.62812025-03-250.060.000.040.333.144.235.548.6124.850.1024.85
混合型005824泰康颐享混合C1.33982025-03-25-0.16-0.89-1.760.713.144.202.352.0617.440.5333.98
股票型021882鑫元华证沪深港红利50指数C1.03142025-03-260.02-1.453.312.093.143.143.143.143.140.983.14
指数型021882鑫元华证沪深港红利50指数C1.03142025-03-260.02-1.453.312.093.143.143.143.143.140.983.14
债券型004535汇添富双盈回报一年持有债C1.34622025-03-25-0.12-0.690.151.523.135.438.5310.4917.191.5234.62
债券型070020嘉实稳固收益债券C1.15402025-03-25-0.09-0.35-0.770.263.133.683.875.4820.000.3594.85
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970190申万宏源双季增享6个月债券C1.08122025-03-250.03-0.090.180.293.134.186.727.817.810.237.81
债券型019372大成元丰多利债券A1.07702025-03-250.060.140.641.083.135.437.707.707.700.727.70
QDII型016057博时纳斯达克100ETF发起式联接(QD1.54422025-03-242.272.10-4.79-6.833.139.3255.8754.4254.42-3.5154.42
债券型017018农银瑞泽添利债券C1.05142025-03-250.08-0.150.550.503.133.374.285.145.140.505.14
混合型013748兴业聚盈混合C1.47142025-03-25-0.02-0.22-0.390.023.133.264.133.971.78-0.041.78
混合型001116广发聚安混合C1.35502025-03-250.000.22-0.44-0.443.125.044.553.1220.02-0.8869.06
混合型004720华夏睿磐泰茂混合A1.35152025-03-250.00-0.310.420.353.124.785.676.5828.530.1538.05
债券型000054鹏华双债增利债券A1.31872025-03-250.03-0.180.400.403.126.253.563.7819.360.4177.78
债券型016870景顺长城稳健增益债券C1.08352025-03-250.130.390.730.703.128.327.808.358.350.468.35
混合型002227长城新优选混合A1.22442025-03-250.02-0.170.08-0.123.123.462.875.3612.760.0048.83
混合型017887国富安颐稳健6个月持有期混合C1.07072025-03-25-0.04-0.210.380.803.126.877.077.077.070.677.07
混合型010082泰康浩泽混合C1.04442025-03-25-0.58-1.42-0.690.053.125.914.447.244.440.344.44
混合型009536汇添富稳健增益一年持有混合A1.11232025-03-250.050.321.191.813.117.468.239.5611.221.4411.22
混合型012480汇安信泰稳健一年持有期混合C0.88482025-03-250.000.120.160.353.114.23-2.05-7.45-11.520.08-11.52
债券型006210东方臻宝纯债债券A3.52202025-03-250.060.24-0.040.633.115.4512.1317.7324.600.19388.60
债券型952024国泰君安君得盛债券A1.18532025-03-250.000.181.060.183.113.951.530.997.010.017.68
混合型001656农银中国优势灵活配置混合1.83062025-03-25-0.68-1.740.18-1.513.11-1.38-15.13-23.1669.30-0.6083.06
混合型003062银华通利混合A1.35702025-03-25-0.18-0.66-0.04-0.313.102.190.710.8816.960.0135.70
债券型485111工银瑞信双利债券A1.86402025-03-250.00-0.110.540.053.104.375.799.7117.60-0.05141.03
债券型164808工银四季收益债券A1.10392025-03-250.100.060.090.473.104.597.4410.6819.710.22126.88
股票型022486国金中证A500指数增强C1.03102025-03-260.03-0.851.592.603.103.103.103.103.103.243.10
股票型012215民生加银核心资产股票C0.66932025-03-26-0.30-2.191.812.093.104.94-8.79-21.99-33.072.43-33.07
指数型022486国金中证A500指数增强C1.03102025-03-260.03-0.851.592.603.103.103.103.103.103.243.10
混合型022211人保红利智享混合A1.03102025-03-250.821.094.983.103.103.103.103.103.103.103.10
混合型020430华安景气回报混合发起式A1.03092025-03-25-0.69-8.72-6.084.893.103.093.093.093.094.983.09
混合型012219博时乐享混合C0.95532025-03-25-0.12-1.66-2.67-1.513.104.540.41-0.87-4.47-1.08-4.47
混合型022277汇添富弘悦回报混合发起式C1.03092025-03-25-0.19-0.441.782.013.093.093.093.093.091.773.09
股票型021931兴业华证沪港深红利100指数A1.03092025-03-26-0.03-1.862.513.213.093.093.093.093.093.153.09
股票型022909国投瑞银中证500指数量化增强Y2.15452025-03-26-0.10-1.800.013.453.093.093.093.093.095.503.09
指数型021931兴业华证沪港深红利100指数A1.03092025-03-26-0.03-1.862.513.213.093.093.093.093.093.153.09
债券型014991嘉合磐恒债券A1.02952025-03-250.00-0.060.180.383.091.473.032.952.950.302.95
混合型001362景顺长城领先回报混合A1.66602025-03-25-0.06-0.420.24-0.423.093.092.845.1127.760.1275.51
混合型004340泰康兴泰回报沪港深混合A1.57692025-03-25-0.19-1.040.591.283.095.656.2811.3033.110.9557.69
指数型022909国投瑞银中证500指数量化增强Y2.15452025-03-26-0.10-1.800.013.453.093.093.093.093.095.503.09


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