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006871广发景和中短债C1.05222025-03-250.020.110.210.210.902.395.548.0714.960.1418.98
债券型003255前海开源鼎裕债券C1.02732025-03-250.09-0.12-0.151.475.652.39-14.11-13.68-16.131.4665.92
债券型020761汇添富丰泰纯债A1.02402025-03-250.050.20-0.22-0.340.302.392.402.402.40-0.412.40
债券型021805财通资管睿丰债券C1.02392025-03-250.030.160.13-0.051.392.392.392.392.39-0.282.39
债券型020687长盛利鑫90天持有纯债A1.02392025-03-25-0.010.030.23-0.191.792.392.392.392.39-0.242.39
债券型015362汇添富鑫裕一年定开债发起式A1.02062025-03-250.080.37-0.57-0.990.652.395.927.227.22-1.277.22
债券型015848天弘合益债券发起D1.01642025-03-250.030.180.13-0.060.742.396.177.797.79-0.197.79
债券型021017广发景宏债券C1.01072025-03-250.030.16-0.15-0.870.362.392.412.412.41-0.952.41
债券型016661华商鸿丰纯债1.00852025-03-250.050.30-0.15-0.490.482.395.696.046.04-0.706.04
混合型519760交银新回报灵活配置混合C3.71272025-03-250.040.000.310.321.912.391.071.2820.750.26432.47
混合型007387融通通慧混合C1.58762025-03-250.000.020.03-0.370.902.39-1.080.6025.96-0.3036.93
指数型019990华安中证云计算与大数据主题指数1.02392025-03-26-0.13-7.22-13.031.752.392.392.392.392.397.072.39
债券型003923长盛盛康纯债债券C1.17602025-03-250.050.230.130.180.832.396.9810.1512.120.0724.19
债券型003545东兴兴利债券A1.12892025-03-250.090.550.000.221.402.396.049.5719.97-0.0629.98
债券型013663富国安福30天滚动持有短债发起A1.10592025-03-250.030.140.210.270.942.396.019.0010.590.1910.59
债券型970147财达证券稳达三个月滚动持有债券C1.09522025-03-250.020.140.210.290.852.396.959.529.520.239.52
债券型675123西部利得汇逸债券C1.07922025-03-250.09-0.040.680.432.792.393.065.867.320.5523.93
债券型009339万家民瑞祥和6个月持有债C1.07842025-03-250.370.89-0.83-0.620.482.394.906.4813.46-1.0613.46
债券型006998广发景兴中短债A1.06902025-03-250.010.070.150.251.172.395.518.2014.240.1818.93
股票型010593南方医药创新股票C0.51452025-03-260.65-2.562.728.1811.702.39-10.32-15.66-48.558.89-48.55
股票型001766摩根医疗健康股票A1.33502025-03-260.35-2.311.407.4714.192.39-21.00-32.97-18.947.5733.50
股票型016269建信改革红利股票C3.68202025-03-26-0.11-6.21-8.43-2.759.982.39-20.04-36.09-36.090.19-36.09
股票型019990华安中证云计算与大数据主题指数1.02392025-03-26-0.13-7.22-13.031.752.392.392.392.392.397.072.39
混合型001602鑫元鑫新收益灵活配置混合C0.65532025-03-25-1.34-6.92-10.832.2517.822.39-33.33-43.49-26.602.39-23.85
债券型007603景顺长城中短债A1.13802025-03-250.040.270.200.000.862.385.768.3714.78-0.1017.12
债券型013805财通资管鸿越3个月滚动持有债券B1.12702025-03-250.050.200.130.150.892.386.2710.7912.680.0712.68
债券型933333国信安泰中短债债券A1.12262025-03-250.030.110.250.290.992.386.788.008.000.238.00
债券型006023宝盈聚丰两年定开债券A1.11832025-03-250.010.040.190.581.182.384.897.8016.130.5318.37
债券型013901华安众享180天持有期中短债A1.11042025-03-250.050.160.150.251.062.386.519.7211.040.1911.04
债券型008536兴银合盛定开债C1.10802025-03-250.010.050.150.471.242.384.696.9310.760.4410.80
债券型012285招商稳裕短债30天持有债A1.10702025-03-250.020.070.210.411.342.385.548.4110.700.3410.70
债券型006954华安安业债券C1.10642025-03-250.070.310.14-0.090.702.386.8210.0217.77-0.1545.96
债券型014098鹏扬利鑫60天滚动持有债券C1.10182025-03-250.030.130.280.220.902.386.5010.3010.180.1510.18
债券型014059富国安慧短债债券A1.07912025-03-250.020.100.230.321.032.386.047.917.910.207.91
债券型519785交银境尚收益债券C1.07502025-03-250.030.180.03-0.170.662.385.347.1110.21-0.3825.01
债券型014281农银金鸿短债债券C1.07342025-03-250.030.110.080.140.872.385.687.347.340.047.34
债券型006829鹏扬利沣短债A1.06852025-03-250.020.100.220.481.072.386.109.4315.440.4517.90
债券型016934景顺长城睿丰短债C1.06712025-03-250.020.080.200.260.962.385.816.716.710.176.71
债券型011311国联恒阳纯债C1.06662025-03-250.050.23-0.09-0.270.372.385.838.2710.28-0.5010.28
债券型010035平安高等级债E1.06532025-03-250.010.12-0.12-0.300.732.384.696.8010.47-0.5310.47
混合型162205宏利风险预算混合1.13292025-03-25-0.20-0.77-1.70-1.822.402.381.342.1721.95-2.16549.43
混合型007141嘉合稳健增长混合A1.05012025-03-25-1.02-4.72-7.70-0.6818.602.38-14.31-22.665.011.835.01
混合型019797银河国企主题混合发起式A1.04052025-03-25-0.20-2.690.21-1.728.102.384.054.054.05-1.704.05
混合型570005诺德成长优势混合1.03202025-03-25-0.19-1.241.28-2.8213.412.38-13.89-21.19-6.98-1.90204.84
混合型010844富国天润回报混合C0.99682025-03-25-0.33-1.66-0.821.304.572.38-0.97-0.161.681.771.68
混合型009636华泰柏瑞景气优选A0.96102025-03-25-0.75-3.23-2.241.5011.342.38-16.01-16.62-3.903.41-3.90
债券型007061中加聚盈四个月定开债A1.04142025-03-210.000.02-0.49-0.251.302.387.6111.2122.05-0.4732.20
债券型016838国新国证鑫颐中短债A1.03942025-03-250.020.080.02-0.550.702.383.533.933.93-0.603.93
债券型016406格林泓旭利率债1.03812025-03-250.251.39-1.34-1.410.502.387.327.707.70-1.397.70
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020832圆信永丰瑞盈债券C1.02382025-03-250.110.040.270.081.202.382.382.382.38-0.022.38
债券型007991富国汇远三年定开债C1.02082025-03-250.000.040.180.551.202.384.837.4313.090.5114.03
债券型003214易方达富惠纯债债券A1.01982025-03-250.020.160.190.140.772.386.958.1015.16-0.0535.62
债券型010634天弘合益债券发起A1.01632025-03-250.030.170.13-0.070.732.386.168.9711.05-0.2011.05
债券型005508永赢丰利债券C1.01482025-03-250.060.290.23-0.030.742.386.6710.1315.26-0.1128.02
债券型004767中银智享债券A1.01132025-03-250.100.37-0.08-0.300.572.386.109.576.27-0.4521.99
债券型017205中银智享债券C1.01102025-03-250.100.37-0.08-0.300.562.385.919.189.18-0.459.18
债券型002898富国两年期理财债券A1.00582025-03-250.010.020.080.381.072.385.068.1216.070.3831.14
债券型017311大成景宁一年定开债券1.00432025-03-250.080.480.450.310.832.385.365.975.970.275.97
债券型015949上银聚恒益一年定开债发起1.00162025-03-250.050.29-0.05-0.390.492.385.817.277.27-0.697.27
债券型007365易方达中债1-3年政金债C1.00132025-03-250.000.080.12-0.350.672.385.828.3314.42-0.3916.46
混合型016796长安鑫富领先混合C1.76702025-03-250.00-0.34-0.34-3.4422.452.38-24.49-16.73-16.73-2.43-16.73
股票型016054泰康先进材料股票发起C0.83192025-03-26-0.51-2.72-4.27-0.5910.172.38-13.45-16.81-16.811.58-16.81
债券型013429东兴鑫享6个月滚动持有债券发起C1.15132025-03-250.060.360.070.131.052.376.8812.0715.13-0.0415.13
债券型009462东方臻萃3个月定开债券C1.14242025-03-250.020.220.250.250.742.3710.9017.1928.870.1828.87
债券型020656景顺长城中短债债券F1.13752025-03-250.040.270.200.010.862.372.962.962.96-0.102.96
债券型009617东兴兴利债券C1.12802025-03-250.090.550.000.221.392.376.019.5319.01-0.0619.01
债券型013806财通资管鸿越3个月滚动持有债券C1.12662025-03-250.050.200.120.150.892.376.2610.7912.660.0712.66
债券型010565东方恒瑞短债债券A1.12022025-03-250.030.130.240.391.162.375.588.3912.020.3612.02
债券型013700永赢安盈90天滚动持有债券发起C1.10162025-03-250.020.070.170.371.012.376.369.5110.150.1710.15
债券型013100招商稳乐中短债90天持有期债券C1.09322025-03-250.020.090.170.290.942.376.398.309.320.179.32
债券型007715南方贺元利率债债券C1.09292025-03-250.050.35-0.32-0.980.262.375.497.5013.26-1.1516.87
债券型013753招商稳福短债14天滚动持有债A1.09192025-03-250.020.090.240.401.192.375.728.129.190.339.19
债券型519720交银纯债债券发起C1.08572025-03-250.060.290.06-0.090.632.376.188.5314.61-0.2352.61
债券型016448平安双盈添益债券C1.08152025-03-250.06-0.03-0.080.180.722.377.418.158.150.118.15
债券型019954富国安慧短债债券E1.07882025-03-250.020.100.240.321.032.373.953.953.950.203.95
债券型004682万家安弘纯债C1.07782025-03-210.000.010.030.010.792.375.577.9214.68-0.0631.48
债券型675051西部利得合赢债券A1.07202025-03-250.050.190.02-0.250.732.376.289.0315.25-0.3628.54
债券型020991西部利得合赢债券E1.07202025-03-250.050.190.02-0.250.732.372.402.402.40-0.362.40
债券型014443汇丰晋信丰盈债券A1.06862025-03-250.100.43-0.07-0.400.482.376.116.866.86-0.706.86
债券型970165招商资管增益添彩一个月持有期中1.06382025-03-250.010.150.05-0.190.642.375.226.386.38-0.316.38
债券型018011交银稳安90天持有期债券A1.06162025-03-250.010.120.190.220.762.376.166.166.160.156.16
债券型016691华安众盈中短债发起式A1.06112025-03-250.010.060.080.110.822.375.346.116.11-0.076.11
债券型016940国联安鸿利短债债券A1.05002025-03-250.010.080.190.261.062.375.005.005.000.165.00
债券型017201山证资管丰盈180天滚动持有中短债1.04522025-03-250.040.150.320.371.092.376.396.096.090.346.09
债券型380010中银聚享债券A1.03632025-03-250.010.13-0.19-0.650.132.375.707.650.00-0.8512.29
债券型002754博时裕创纯债债券A1.03012025-03-250.020.180.13-0.030.842.376.249.8316.84-0.1340.08
债券型470030汇添富鑫禧债1.02552025-03-250.070.33-0.23-0.580.652.375.718.550.00-0.8815.33
债券型008223交银裕泰两年定期开放债券1.01722025-03-250.010.040.160.451.342.374.927.5413.710.4214.54
债券型019263中信保诚嘉盛三个月定开债券C1.01692025-03-250.110.48-0.16-0.310.762.373.733.733.73-0.673.73
债券型020067方正富邦锦利3个月定开债券1.01462025-03-250.050.33-0.13-0.530.922.372.372.372.37-0.802.37
债券型021307永赢宏泰短债E1.01362025-03-250.030.110.160.181.112.372.372.372.370.062.37
债券型005703永赢增益债券A1.00102025-03-250.060.21-0.03-0.150.732.376.429.3516.17-0.5830.96
债券型163907中海惠裕纯债发起式0.82002025-03-250.000.120.120.000.742.377.4710.7215.10-0.1268.74
混合型162203宏利稳定混合1.56642025-03-25-0.54-2.940.31-1.399.862.37-19.63-28.1310.59-0.15724.24
债券型016657汇丰晋信丰宁三个月定开债券C1.03252025-03-250.040.19-0.05-0.800.412.365.846.366.36-0.876.36
债券型007011国寿安保中债1-3年指数C1.03232025-03-250.000.090.08-0.250.692.365.708.1914.07-0.3219.41
债券型007181华安中债1-3年政策金融债C1.02752025-03-250.030.23-0.07-0.660.672.365.758.3013.55-0.7118.46
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021066泰康中债0-3年政策性金融债指数C1.02362025-03-250.010.100.09-0.210.902.362.362.362.36-0.372.36
债券型020452红土创新丰和利率债A1.02362025-03-25-0.020.070.07-0.271.272.362.362.362.36-0.362.36
债券型016431中海丰盈三个月定期开放债券1.01962025-03-250.100.51-0.66-1.64-0.252.369.159.449.44-1.879.44
债券型007680中加享利三年债券1.00212025-03-210.000.040.160.501.052.364.646.7313.320.4415.16
混合型519761交银多策略回报灵活配置混合C1.47092025-03-250.100.191.250.542.292.360.680.8817.830.5461.82
股票型021963天弘国证新能源电池指数发起A1.02362025-03-260.39-2.68-2.773.532.362.362.362.362.364.442.36
指数型021963天弘国证新能源电池指数发起A1.02362025-03-260.39-2.68-2.773.532.362.362.362.362.364.442.36
QDII型020957中银全球策略(QDII-FOF)C0.87522025-03-241.791.28-4.70-8.34-0.782.363.703.703.70-5.373.70
混合型018055鹏扬景添一年持有混合C1.04372025-03-250.05-0.04-0.06-0.021.322.364.374.374.370.004.37
混合型008541西部利得新享混合A0.94182025-03-25-1.06-3.37-4.66-0.797.012.36-7.75-4.92-5.822.28-5.82
债券型008775招商鑫福中短债C1.15522025-03-250.020.100.160.251.012.365.528.0715.520.1515.52
债券型006630招商鑫悦中短债C1.14522025-03-250.020.100.160.130.992.365.728.2814.710.0322.72
债券型013536鹏华稳华90天滚动持有债券A1.11842025-03-250.040.120.180.301.102.367.6510.3611.840.2111.84
债券型012915中欧稳利60天滚动持有短债A1.11282025-03-250.020.090.180.280.962.365.879.1111.280.2111.28
债券型013459华夏稳鑫增利80天滚动持有债券A1.10862025-03-250.020.090.230.300.712.366.809.8810.860.2410.86
债券型007752中银招利债券A1.10042025-03-250.15-0.18-0.15-0.380.512.365.067.4018.39-0.3421.12
债券型011080鹏华尊和一年定开发起式债券1.09542025-03-250.040.16-0.04-0.050.602.366.158.6513.44-0.3313.44
债券型017008诺德中短债债券A1.08682025-03-250.100.340.06-0.010.622.367.978.688.68-0.168.68
债券型020706蜂巢添汇纯债E1.08152025-03-250.050.290.02-0.130.432.362.702.702.70-0.462.70
债券型009167博时富灿一年定开债发起式1.07782025-03-250.040.150.20-0.130.572.366.188.4512.88-0.2112.88
指数型021415泰康红利低波ETF联接A1.02352025-03-26-0.310.243.042.352.352.352.352.352.352.352.35
债券型007227海富通中短债债券A1.16302025-03-250.030.160.220.291.042.359.4911.0214.670.2216.30
债券型002818招商招恒纯债C1.13652025-03-250.060.40-0.63-1.280.152.356.148.2411.65-1.4721.55
债券型012393兴银稳安60天滚动持有债券C1.13392025-03-250.030.110.170.220.942.356.799.7013.390.1513.39
债券型006834工银尊享短债债券A1.13062025-03-250.040.130.240.150.982.355.678.3114.590.0419.81
债券型012395兴业60天滚动持有短债债券A1.12402025-03-250.020.120.190.340.982.355.829.2112.400.2212.40
债券型970084国联汇富债券A1.10642025-03-250.030.190.260.441.022.357.029.1810.640.2910.64
债券型013672国联安恒悦90天持有债券A1.10042025-03-250.010.080.190.191.022.356.4610.0410.040.0710.04
债券型009506富荣富恒两年定开债1.09692025-03-250.000.000.000.001.172.354.267.8213.020.0013.02
债券型019653银华信用四季红债券D1.07752025-03-250.060.27-0.06-0.320.272.354.144.144.14-0.504.14
债券型011661华富中债1-3年国开债A1.06632025-03-25-0.010.070.06-0.120.702.357.039.6811.44-0.2411.44
债券型008859人保安和定开1.06502025-03-210.000.22-0.25-0.500.652.356.036.506.50-0.756.50
混合型017036嘉实低碳精选混合发起式A0.64882025-03-25-0.32-0.150.59-0.2913.132.35-26.13-35.12-35.120.96-35.12
债券型014464交银裕道纯债一年定开债券发起1.04722025-03-250.090.41-0.01-0.230.942.357.3611.5011.50-0.4011.50
债券型019048嘉实汇享30天持有期纯债债券A1.04212025-03-250.020.080.210.121.002.354.214.214.210.044.21
债券型019805华泰紫金智和利率债1.03602025-03-250.040.25-0.59-1.350.062.353.603.603.60-1.503.60
债券型008019华富安兴39个月定开债C1.03432025-03-210.000.040.150.501.242.354.658.4717.360.4419.07
债券型015540富国元利债券C1.03132025-03-250.01-0.080.140.262.502.351.953.133.130.093.13
债券型017449嘉合磐辉纯债A1.03022025-03-250.070.310.310.221.032.354.864.864.860.164.86
债券型006631鑫元臻利A1.02252025-03-250.010.09-0.05-0.691.362.356.919.6416.09-0.6322.00
债券型014553中航瑞华ESG一年定开债发起C1.01962025-03-250.140.30-0.38-0.270.352.358.3510.2010.25-0.3910.25
债券型003227中信保诚稳健债券C1.01882025-03-250.050.29-0.35-0.370.472.356.169.5016.98-0.6435.77
债券型021107宝盈盈悦纯债债券C1.01352025-03-250.010.130.00-0.440.872.352.352.352.35-0.692.35
股票型017726鑫元成长驱动股票发起式A0.82712025-03-260.95-5.78-9.672.5218.242.35-17.29-17.29-17.293.92-17.29
股票型021415泰康红利低波ETF联接A1.02352025-03-26-0.310.243.042.352.352.352.352.352.352.352.35
混合型018919华夏清洁能源龙头混合发起式C1.08002025-03-25-0.14-1.572.43-5.04-0.612.358.008.008.00-3.198.00
混合型001415中信保诚新锐混合A1.04402025-03-250.00-0.10-0.10-0.102.452.35-1.69-4.4816.570.0017.39
混合型009818红塔红土稳健精选混合C0.95702025-03-250.13-0.08-1.32-1.430.902.35-0.85-3.723.27-1.603.27
混合型020098万家惠诚回报平衡一年持有期混合A1.01532025-03-250.10-0.48-0.230.372.212.342.352.352.350.322.35
混合型020662中加科技创新混合发起式C0.99742025-03-25-3.13-10.19-13.19-5.0835.762.34-0.26-0.26-0.26-1.34-0.26
混合型016998创金合信产业臻选平衡混合C0.80172025-03-25-0.83-1.324.237.3815.222.34-19.24-19.83-19.837.94-19.83


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