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016812长信稳航30天持有中短债债券A1.07502025-03-250.010.060.180.410.982.065.327.507.500.357.50
债券型022268永赢迅利中高等级短债D1.07412025-03-250.020.080.180.331.001.001.001.001.000.221.00
债券型016984华泰柏瑞安盛一年持有期债券C1.07372025-03-250.04-0.060.180.071.743.676.727.377.37-0.137.37
债券型016526招商鑫诚短债A1.07292025-03-250.010.060.180.360.911.995.567.297.290.317.29
债券型970156安信资管瑞安30天持有中短债C1.07182025-03-250.010.080.180.150.341.535.587.457.450.137.45
债券型003121中信保诚稳利债券A1.07112025-03-250.050.240.180.041.062.906.479.6914.22-0.1529.19
债券型019104博时安悦短债E1.06722025-03-250.020.080.180.270.872.204.494.494.490.224.49
债券型018601长城集利债券发起式A1.06452025-03-25-0.04-0.110.180.183.404.126.456.456.450.166.45
债券型017329永赢季季享90天持有期中短债债券C1.06302025-03-250.020.110.180.270.982.155.616.306.300.156.30
债券型008588淳厚中短债债券C1.06272025-03-25-0.06-0.020.18-0.090.661.795.558.5313.61-0.1213.61
债券型013458华夏鼎业三个月定开债券C1.06172025-03-250.030.160.180.321.022.766.148.9210.050.2510.05
债券型005442兴业安和6个月定开债1.06092025-03-250.060.230.180.021.053.217.3011.3617.14-0.2029.56
债券型019396博时双月乐60天持有期债券A1.06082025-03-250.020.110.180.381.252.826.086.086.080.226.08
债券型014638银华安鑫短债债券D1.06082025-03-250.020.120.180.090.861.934.907.848.64-0.028.64
债券型020390中欧短债债券E1.05752025-03-250.020.090.180.331.152.453.513.513.510.253.51
债券型006378广发汇宏6个月定开债1.05472025-03-250.030.160.180.111.533.647.4711.0113.54-0.0918.25
债券型016787万家家享中短债D1.05432025-03-250.020.120.180.230.902.477.568.688.680.118.68
债券型018898易方达悦和稳健债券A1.05292025-03-25-0.10-0.330.180.694.235.445.295.295.290.595.29
债券型519199万家家享中短债A1.05152025-03-250.020.120.180.240.902.496.079.5112.960.1126.69
债券型019909国寿安保泰悦3个月滚动持有债券C1.04992025-03-250.020.100.180.321.202.934.994.994.990.204.99
债券型019542东方红90天持有纯债C1.04752025-03-250.030.120.180.181.323.644.754.754.75-0.044.75
债券型019084万家稳安60天持有期债券C1.04662025-03-250.020.110.180.351.323.474.664.664.660.174.66
债券型018804广发添福90天持有债券A1.04592025-03-250.010.050.180.061.092.634.594.594.590.004.59
债券型872028广发资管多添利六个月持有期债券C1.04582025-03-250.100.050.180.382.003.472.992.992.990.252.99
债券型009386创金合信泰享39个月1.04502025-03-210.000.040.180.631.352.585.509.3015.070.5515.07
债券型009425金信民安两年债券1.04372025-03-250.010.050.180.521.152.414.374.374.370.484.37
债券型008027工银泰和39个月定开债券A1.04362025-03-250.010.050.180.581.332.785.349.0915.160.5315.16
债券型006016平安惠安债券1.04032025-03-250.040.170.18-0.061.063.037.429.9816.53-0.3626.60
债券型017708长盛盛启债券A1.03892025-03-250.040.170.180.201.033.408.568.568.560.148.56
债券型005077平安合韵定开债1.03852025-03-250.020.070.180.261.243.797.2710.6516.110.1627.23
债券型019932泰康悦享30天持有期债券C1.03812025-03-250.010.060.180.330.852.793.813.813.810.243.81
债券型020953中欧稳悦120天滚动持有债券A1.03772025-03-250.020.080.180.361.613.763.773.773.770.303.77
债券型005617中信嘉鑫3个月定开债1.03702025-03-250.040.190.180.000.832.686.509.9815.86-0.1731.94
债券型007979万家惠享39个月定开债1.03572025-03-210.000.050.180.611.372.875.648.5715.290.5316.23
债券型008333景顺长城弘利39个月定开债1.03252025-03-250.010.050.180.571.202.735.028.2514.790.5415.51
债券型016108安信臻享三个月定开债券1.03212025-03-250.060.270.18-0.350.812.816.497.327.32-0.517.32
债券型018093国投瑞银顺意一年定开债发起式1.03132025-03-250.060.360.180.001.093.567.237.257.25-0.217.25
债券型007269山证资管裕睿6个月定开债券C1.03132025-03-210.000.060.180.481.012.866.4310.3320.280.4225.21
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
债券型020896汇添富稳鼎120天滚动持有债券C1.02912025-03-250.020.110.180.281.322.912.912.912.910.182.91
债券型009523宝盈聚福39个月定开债A1.02882025-03-250.000.040.180.561.332.705.949.8515.670.5215.67
债券型007836泰康润和两年定开债券1.02862025-03-210.000.040.180.561.142.344.667.1714.000.4914.59
债券型002301兴业短债债券A1.02832025-03-250.020.100.180.310.932.155.107.8114.250.2031.32
债券型003395安信尊享纯债1.02792025-03-250.020.190.18-0.161.023.126.388.7014.25-0.3733.24
债券型019878永赢瑞弘12个月持有期债券C1.02692025-03-250.010.040.180.361.112.692.692.692.690.132.69
债券型005201浦银安盛普瑞纯债C1.02472025-03-250.040.210.18-0.120.651.804.556.4411.21-0.2116.01
债券型008165东兴鑫远三年定开1.02202025-03-210.000.040.180.601.222.795.317.7911.950.5311.95
债券型003159万家恒瑞18个月定开债A1.02192025-03-250.050.270.180.031.393.967.8910.4917.59-0.1829.36
债券型021825东海鑫兴30天持有债券C1.02172025-03-250.040.350.180.282.152.172.172.172.170.182.17
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020165中信保诚中债0-2年政金债指数A1.02052025-03-250.030.110.180.091.192.573.383.383.38-0.063.38
债券型006516浙商汇金短债A1.02002025-03-250.010.160.180.250.791.945.347.9415.630.1322.48
债券型006094永赢泰益债券A1.01992025-03-250.060.220.180.191.194.338.6512.0118.01-0.1428.41
债券型009799中银证券安汇三年定开债1.01742025-03-240.020.050.180.541.152.605.419.4415.340.4915.34
债券型017621易方达富惠纯债债券C1.01672025-03-250.020.160.180.110.672.236.677.877.87-0.077.87
债券型009552财通资管丰乾39个月定开债A1.01632025-03-210.000.050.180.551.472.696.0010.0215.910.4815.91
债券型001784兴银合盈债券C1.01582025-03-250.050.230.18-0.040.892.836.839.4815.85-0.1220.26
债券型022111华泰保兴恒利中短债D1.01572025-03-250.000.000.18-0.13-2.37-2.30-2.30-2.30-2.30-0.24-2.30
债券型021416国富中债绿色普惠金融债券指数A1.01562025-03-250.020.140.18-0.130.932.072.072.072.07-0.222.07
债券型022660永赢宏泰短债D1.01502025-03-250.030.110.180.250.980.980.980.980.980.120.98
债券型006662易方达安悦超短债A1.01432025-03-250.010.050.180.310.831.884.737.2312.820.2418.40
债券型021267安信180天持有债券A1.01302025-03-250.050.110.180.091.081.301.301.301.300.001.30
债券型021578建信鑫益90天持有期债券A1.01292025-03-250.050.270.180.231.071.291.291.291.290.051.29
债券型012612东方臻善纯债债券C1.01202025-03-250.020.070.180.120.741.874.366.557.830.037.83
债券型005316宏利交利3个月定开债券发起式C1.01182025-03-250.000.120.18-2.76-2.19-3.77-0.98-5.91-1.78-2.831.18
债券型005315宏利交利3个月定开债券发起式A1.01182025-03-250.000.120.180.130.711.974.928.4913.260.0526.69
债券型000134中信保诚嘉鸿债券A1.01122025-03-250.040.210.180.030.862.505.939.230.00-0.1116.19
债券型021127恒越季季乐3个月滚动持有债券A1.00992025-03-250.030.220.180.590.990.990.990.990.990.640.99
债券型008535兴银合盛定开债A1.00912025-03-250.000.040.180.581.472.845.618.3113.150.5413.21
债券型009212易方达恒茂39个月定开债券1.00802025-03-250.000.040.180.571.392.665.559.2915.220.5315.22
债券型009001长城泰利纯债A1.00752025-03-250.050.290.18-0.060.822.536.229.2514.97-0.2015.14
债券型007169易方达中债1-3年国开债A1.00682025-03-250.000.110.18-0.210.772.586.108.7215.16-0.2720.00
债券型007170易方达中债1-3年国开债C1.00652025-03-250.000.110.18-0.230.682.445.858.3914.58-0.2819.27
债券型021343建信鑫诚90天持有期债券C1.00572025-03-250.030.210.180.250.570.570.570.570.570.150.57
债券型164810工银纯债定开债1.00482025-03-250.080.370.180.020.963.4310.1914.7721.21-0.1469.94
债券型007928中加享润两年定开债1.00412025-03-210.000.040.180.581.502.745.468.3814.810.5115.74
债券型006320易方达安瑞短债C1.00232025-03-250.020.070.180.330.741.734.777.0011.750.2917.24
债券型021746南方悦享稳健添利债券A1.00182025-03-250.000.000.180.180.180.180.180.180.180.180.18
债券型008649华泰柏瑞锦兴39个月定开债1.00062025-03-250.010.040.180.521.092.664.817.6213.090.4813.55
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002146长安鑫益增强混合A1.48482025-03-250.030.140.18-0.040.641.826.5410.8518.87-0.1048.48
混合型009026中银高质量发展机遇混合A1.36132025-03-25-0.37-2.120.18-1.0814.756.57-10.63-11.2736.13-0.4636.13
混合型006608泓德研究优选混合1.30062025-03-25-0.76-4.110.186.4834.2926.39-4.776.5845.558.8683.47
混合型004760国寿安保稳瑞混合A1.26682025-03-25-0.16-1.050.181.9612.088.981.215.5530.942.4348.75
混合型006323合煦智远嘉选混合A1.24822025-03-25-0.76-1.760.181.552.618.33-1.42-6.8570.661.4589.75
混合型206001鹏华弘泰A1.22922025-03-250.030.110.180.200.713.514.715.099.120.11589.83
混合型021312华宝安享混合C1.13292025-03-250.140.510.18-0.611.161.971.971.971.97-1.261.97
混合型000508宏利宏达混合B1.13102025-03-250.18-0.880.182.086.405.412.32-0.8112.821.8065.33
混合型018627富国兴享回报6个月持有期混合C1.06372025-03-25-0.40-1.120.184.1810.508.306.376.376.374.926.37
混合型021968西部利得均衡优选混合C1.06122025-03-25-0.44-3.070.186.126.126.126.126.126.126.126.12
混合型020865银华嘉选平衡混合发起式C1.03002025-03-250.11-0.660.180.592.833.003.003.003.000.773.00
混合型011577鹏华安诚混合C1.00832025-03-250.060.240.180.241.423.921.222.000.83-0.050.83
混合型022285鹏华弘实混合E1.00802025-03-250.010.120.180.190.800.800.800.800.800.070.80
混合型018053鹏扬医疗健康混合C0.93162025-03-25-0.48-2.020.181.907.35-0.29-6.84-6.84-6.843.83-6.84
混合型022372汇安信泰稳健一年持有期混合E0.89612025-03-250.010.130.180.411.251.251.251.251.250.131.25
混合型014660金元顺安行业精选混合C0.76002025-03-250.220.300.18-1.4710.844.78-17.62-24.00-24.00-0.95-24.00
混合型010809达诚策略先锋混合C0.72642025-03-25-1.09-2.420.183.0211.818.79-3.130.33-27.364.46-27.36
混合型009930南方创新驱动混合C0.65992025-03-25-0.54-1.480.183.1413.7213.31-6.56-15.62-34.013.45-34.01
混合型001327鹏华弘华混合A1.26732025-03-250.00-0.050.170.751.210.64-0.64-7.015.760.8433.15
混合型016040华安新动力灵活配置混合C1.26192025-03-250.040.200.170.080.631.110.390.870.87-0.020.87
混合型004761国寿安保稳瑞混合C1.25962025-03-25-0.16-1.050.171.9412.028.871.015.2430.292.4147.66
混合型022288合煦智远嘉选混合E1.24832025-03-25-0.75-1.760.171.571.431.431.431.431.431.461.43
混合型001775鹏华弘泰C1.24382025-03-250.030.110.170.140.623.314.294.468.030.0624.38
混合型001157国联安睿祺灵活配置混合1.18992025-03-250.04-0.140.171.034.685.787.728.5836.721.0282.52
混合型002411华夏新机遇混合A1.15602025-03-25-0.52-1.950.171.5822.5914.6810.899.0925.601.7665.54
混合型002543长城久益混合A1.15242025-03-25-0.02-1.710.17-0.77-0.071.25-13.96-16.015.09-0.7915.24
混合型000507宏利宏达混合A1.14802025-03-250.17-0.860.172.146.495.712.940.0614.541.9572.85
混合型003456信澳新目标灵活配置混合A1.14792025-03-250.05-0.180.170.780.98-2.56-27.71-25.410.960.6848.18
混合型001328鹏华弘华混合C1.13242025-03-250.00-0.050.170.741.180.58-0.95-7.275.360.8413.24
混合型009902易方达悦享一年持有混合A1.11122025-03-250.09-0.130.170.604.033.994.554.9211.120.3311.12
混合型018555交银启嘉混合C1.05722025-03-25-0.71-4.120.178.0830.0817.145.725.725.729.125.72
混合型007304京管泰富优势混合C1.05532025-03-25-0.17-1.970.171.9616.137.906.566.566.562.806.56
混合型019796银河国企主题混合发起式C1.04112025-03-25-0.20-2.710.17-1.867.791.854.114.114.11-1.834.11
混合型013785东方红优质甄选一年持有混合C1.03162025-03-25-0.01-0.090.170.623.503.595.297.736.070.636.07
混合型008990东方红匠心甄选一年持有混合1.03052025-03-250.00-0.200.170.534.454.706.149.0119.570.5618.84
混合型011409天弘益新混合C1.02652025-03-250.030.090.170.140.741.940.801.132.650.022.65
混合型022974鹏华弘实混合D0.99992025-03-250.010.110.17-0.01-0.01-0.01-0.01-0.01-0.01-0.01-0.01
混合型010301达诚成长先锋混合A0.88132025-03-25-1.08-2.460.172.9311.718.83-2.881.08-11.874.52-11.87
混合型012387国金ESG持续增长混合A0.71752025-03-25-1.09-2.750.173.9422.9213.53-11.54-14.48-28.255.45-28.25
债券型018414南方稳瑞90天持有债券A1.05492025-03-250.020.100.170.200.933.845.495.495.490.095.49
债券型020543南方稳瑞90天持有债券E1.05472025-03-250.020.100.170.200.933.824.774.774.770.094.77
债券型006673广发招财短债债券C1.05312025-03-250.020.080.170.190.641.464.987.4111.000.1515.10
债券型006990建信中短债纯债债券C1.05292025-03-250.030.140.170.130.842.286.118.7615.500.0120.60
债券型007496农银汇理丰泽三年定开债1.05222025-03-210.000.050.170.541.142.635.127.8515.300.4717.33
债券型008670方正富邦禾利39个月定开债C1.05102025-03-210.000.040.170.521.102.295.118.6713.820.4413.82
债券型015851南华瑞诚一年定开债发起1.05092025-03-250.050.270.17-0.060.602.187.339.569.56-0.109.56
债券型002442鑫元汇利债券1.05012025-03-250.030.170.17-0.050.802.846.469.4015.47-0.1336.35
债券型018838广发添财30天持有债券A1.04932025-03-250.030.150.170.230.932.544.934.934.930.144.93
债券型519323浦银安盛盛元定开债C1.04872025-03-250.060.300.17-0.210.672.636.5810.1018.76-0.4243.04
债券型019742华宝宝丰高等级债券D1.04792025-03-250.010.110.170.220.451.060.860.860.860.170.86
债券型016941国联安鸿利短债债券C1.04682025-03-250.010.070.170.210.972.194.684.684.680.114.68
债券型009831长城稳利纯债A1.04592025-03-250.060.340.170.060.983.378.2712.3114.36-0.0914.36
债券型018568长信稳固60天滚动持有债券A1.04462025-03-250.010.070.170.270.512.174.464.464.460.124.46
债券型007568南方恒新39个月C1.04462025-03-250.010.040.170.511.282.444.708.1417.370.4720.08
债券型019581浦银悦享30天持有债券A1.04362025-03-250.020.120.170.201.623.004.364.364.36-0.014.36
债券型006562中欧短债债券C1.04332025-03-250.010.090.170.291.042.235.047.2512.580.2118.09
债券型020727兴业稳瑞90天持有期债券A1.04162025-03-250.020.110.170.612.314.164.164.164.160.454.16
债券型005011金鹰添瑞中短债C1.04132025-03-250.050.320.17-0.080.802.044.937.1612.62-0.1925.10
债券型003527鹏华丰腾债券1.04102025-03-250.050.200.17-0.170.652.836.7610.2514.03-0.3427.08
债券型020697蜂巢稳鑫90天持有期债券A1.03422025-03-250.010.080.170.742.093.423.423.423.420.683.42
债券型022033兴业短债债券D1.03342025-03-250.020.100.170.310.931.121.121.121.120.191.12
债券型008004大成通嘉三年定开债券C1.03322025-03-250.010.050.170.511.412.665.297.7313.620.4714.58
债券型009679浙商惠隆39个月定开债券1.03292025-03-210.000.050.170.551.342.545.629.5015.290.4815.29
债券型005740易方达恒信定期开放债券1.03182025-03-250.040.230.17-0.200.632.927.0610.0516.09-0.4329.63
债券型009906诺德安瑞39个月定开1.03162025-03-210.000.040.170.531.062.165.158.8114.370.4714.37
债券型020164中信保诚中债0-2年政金债指数C1.03152025-03-250.030.110.170.041.142.463.253.253.25-0.113.25
债券型015810国泰君安君添利中短债发起C1.03072025-03-250.040.220.17-0.130.592.416.098.298.29-0.228.29
债券型009802东海祥泰三年定开债发起式1.02982025-03-250.010.040.170.501.052.424.838.3214.040.4714.04
债券型007206银华丰华三个月定开债1.02682025-03-250.070.320.17-0.271.103.708.2911.3817.39-0.5020.84
债券型009524宝盈聚福39个月定开债C1.02542025-03-250.010.040.170.501.212.455.429.0614.380.4714.38


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