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018597兴证全球招益债券A1.07742025-03-250.240.210.711.515.756.687.747.747.741.147.74
债券型015533红塔红土瑞鑫纯债债券A1.07722025-03-250.060.210.200.071.062.894.817.727.72-0.047.72
债券型006510国联安增盈纯债C1.07692025-03-250.040.210.210.150.963.098.0510.2513.660.0719.69
债券型020627广发安泽短债D1.07602025-03-250.040.210.240.311.232.933.433.433.430.183.43
债券型016260汇添富中债1-5年政策性金融债指数1.07592025-03-250.030.21-0.20-0.691.034.017.988.658.65-0.968.65
债券型016744长城永利债券C1.07512025-03-250.040.21-0.33-0.680.742.946.867.517.51-0.927.51
债券型016261汇添富中债1-5年政策性金融债指数1.07392025-03-250.030.21-0.21-0.651.033.967.858.458.45-0.918.45
债券型519942长信利率C1.07372025-03-250.040.21-0.10-0.500.392.154.606.2511.49-0.7929.45
债券型016859中加中债-新综合债券指数发起1.07122025-03-250.070.210.350.151.093.096.707.127.120.077.12
债券型018598兴证全球招益债券C1.07002025-03-250.240.210.691.415.546.277.007.007.001.057.00
债券型900020中信证券中短债债券A1.06772025-03-250.050.210.190.181.062.425.886.776.770.076.77
债券型016596民生加银月月乐30天持有短债A1.06682025-03-250.040.210.260.240.962.425.706.686.680.166.68
债券型900080中信证券中短债债券E1.06672025-03-250.050.210.190.181.042.405.786.676.670.076.67
债券型007390上银中债1-3年农发行债券指数1.06602025-03-250.040.210.26-0.450.131.104.076.2810.85-0.4714.45
债券型015622平安合禧1年定开发起1.06572025-03-250.030.210.00-0.082.415.5710.9211.6811.68-0.4511.68
债券型011947建信裕丰利率债三个月定开债C1.06462025-03-250.040.21-0.36-1.080.633.047.159.4612.21-1.2312.21
债券型007050鑫元恒利三个月定开债1.06252025-03-250.030.210.11-0.270.642.706.529.1618.07-0.4821.93
债券型006012中信保诚稳鸿C1.06212025-03-250.070.210.410.250.983.148.4811.5615.470.1521.96
债券型900050中信证券中短债债券C1.06032025-03-250.050.210.170.120.922.155.286.036.030.016.03
债券型008876国寿安保尊恒利率债债券C1.06022025-03-250.030.210.16-0.161.123.336.878.8316.08-0.2816.08
债券型261102景顺长城优信增利债券C1.05922025-03-250.050.21-0.19-0.321.143.786.838.7613.23-0.5466.25
债券型010191华夏鼎信债券A1.05852025-03-250.040.210.170.231.663.869.6012.9718.360.0118.36
债券型017105光大荣利纯债债券A1.05672025-03-250.040.21-0.14-0.910.792.766.246.736.73-1.126.73
债券型007260国投瑞银顺祺纯债1.05632025-03-250.060.21-0.23-0.550.743.166.759.4515.81-0.8420.49
QDII型000369广发全球医疗保健指数人民币(QDII2.42402025-03-240.290.210.215.81-2.494.0319.6423.6772.406.64166.71
QDII型004419汇添富美元债债券(QDII)人民币A1.05322025-03-24-0.270.210.672.160.553.182.449.88-0.371.905.32
股票型100033富国中证红利指数增强A0.96302025-03-26-0.210.212.56-0.992.773.9111.6615.7859.11-1.56352.31
股票型100032富国中证红利指数增强A0.96302025-03-26-0.210.212.56-0.992.773.9111.6615.7859.11-1.56352.31
股票型022903富国中证红利指数增强Y0.96602025-03-26-0.210.212.66-0.79-0.21-0.21-0.21-0.21-0.21-1.36-0.21
混合型009077红土创新稳进混合A1.27382025-03-250.110.210.46-0.311.062.597.9812.0733.72-0.3332.77
混合型009078红土创新稳进混合C1.26742025-03-250.110.210.44-0.341.002.507.7511.7333.05-0.3532.11
混合型004437汇添富年年泰定开混合C1.22562025-03-250.070.210.33-0.182.114.20-1.53-0.010.70-0.4522.56
混合型519963长信利盈混合A1.21572025-01-220.010.213.463.613.474.203.36-0.2424.990.3370.09
混合型011779易方达稳泰一年持有混合A1.13862025-03-250.110.210.68-0.182.686.3911.3413.9613.86-0.4713.86
混合型011780易方达稳泰一年持有混合C1.12312025-03-250.100.210.65-0.282.506.0210.5612.7712.31-0.5512.31
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012052财通资管新聚益6个月持有混合发起1.08092025-03-250.060.210.100.823.927.256.908.188.090.308.09
混合型009755景顺长城安鑫回报一年持有期混合C1.07682025-03-250.200.211.773.8316.5110.55-5.73-1.657.693.977.69
混合型012078易方达悦夏一年持有混合C1.07252025-03-250.070.210.471.174.034.276.637.537.251.037.25
混合型013261太平睿享混合C1.07082025-03-250.640.210.710.8712.3810.468.838.387.080.937.08
混合型012053财通资管新聚益6个月持有混合发起1.06742025-03-250.060.210.080.733.726.745.976.816.740.206.74
混合型021814华泰柏瑞红利量化选股混合A1.01912025-03-250.330.212.381.911.911.911.911.911.911.911.91
混合型001413国联鑫起点混合A0.98882025-03-250.000.21-0.30-0.262.031.40-16.80-16.77-0.71-0.493.54
混合型011427广发价值驱动混合A0.90012025-03-250.820.215.100.226.263.33-7.002.34-9.992.46-9.99
混合型011990汇安鑫泽稳健一年持有期混合C0.85222025-03-250.110.210.50-0.370.630.72-5.24-14.39-14.78-0.40-14.78
混合型022519东海祥龙(LOF)C0.82942025-03-250.130.211.01-0.75-1.26-1.26-1.26-1.26-1.26-0.22-1.26
混合型001139华安新动力灵活配置混合A1.27382025-03-250.040.200.210.200.821.491.182.236.060.0927.38
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011508易方达悦弘一年持有期混合A1.08232025-03-250.070.200.461.123.854.587.328.748.230.978.23
混合型011086易方达瑞康混合A1.08082025-03-250.050.200.58-0.217.523.250.045.628.08-0.548.08
混合型011087易方达瑞康混合C1.07252025-03-250.050.200.56-0.257.423.10-0.325.047.25-0.587.25
混合型010465鹏扬景创混合A1.06632025-03-250.030.200.060.182.183.314.206.416.630.036.63
混合型011509易方达悦弘一年持有期混合C1.06462025-03-250.080.200.431.023.644.166.457.446.460.876.46
混合型010043天弘安康颐和混合A1.06112025-03-250.150.200.580.653.033.96-0.560.459.210.389.21
混合型022556天弘安康颐和混合E1.05972025-03-250.150.200.560.561.161.161.161.161.160.281.16
混合型010044天弘安康颐和混合C1.05352025-03-250.150.200.570.612.933.74-0.97-0.168.280.338.28
混合型022281鹏华弘润混合E1.02452025-03-250.000.200.420.492.452.452.452.452.450.342.45
混合型021815华泰柏瑞红利量化选股混合C1.01812025-03-250.340.202.331.811.811.811.811.811.811.811.81
混合型011428广发价值驱动混合C0.88752025-03-250.820.205.070.126.052.91-7.741.13-11.252.36-11.25
混合型011518嘉实价值臻选混合0.86622025-03-250.090.205.654.2712.7615.43-1.153.05-13.384.53-13.38
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
QDII型020512摩根海外稳健配置混合(QDII-FOF)1.07392025-03-240.010.200.330.673.043.894.354.354.350.554.35
QDII型004420汇添富美元债债券(QDII)人民币C1.02532025-03-24-0.280.200.642.060.322.741.598.52-2.321.812.53
债券型005364华夏鼎顺三个月定开债A1.05482025-03-250.040.200.19-0.160.943.108.3210.8716.74-0.3724.31
债券型010192华夏鼎信债券C1.05472025-03-250.030.200.150.201.613.769.3712.6117.87-0.0217.87
债券型006475国泰嘉睿纯债债券A1.05362025-03-250.030.20-0.03-0.271.826.1512.0714.6821.10-0.5928.49
债券型675043西部利得合享C1.05312025-03-250.030.20-0.03-0.300.832.886.849.3215.71-0.5852.67
债券型022086国泰嘉睿纯债债券E1.05202025-03-250.040.20-0.06-0.361.682.422.422.422.42-0.662.42
债券型013405中航瑞旭3个月定开债A1.05002025-03-250.030.20-0.07-0.310.892.816.186.576.57-0.466.57
债券型018272嘉实稳健兴享6个月持有期债券A1.04972025-03-250.040.20-1.120.021.753.544.974.974.97-0.894.97
债券型519675银河泰利纯债A1.04612025-03-250.060.20-0.67-1.061.154.848.8811.0814.69-1.2983.47
债券型004264海富通瑞合纯债1.04532025-03-250.050.200.07-0.180.993.416.728.8113.26-0.3031.21
债券型007706南方聪元债券A1.04272025-03-250.040.200.22-0.350.692.956.379.5016.07-0.5319.77
债券型003400建信恒瑞债券1.04192025-03-250.030.200.200.231.263.247.5110.0014.27-0.0331.84
债券型675041西部利得合享A1.04132025-03-250.030.20-0.03-0.290.862.946.959.4916.01-0.5636.73
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009207兴银汇智定开债1.04072025-03-250.040.200.12-0.230.873.147.1810.1416.18-0.4916.18
债券型017567惠升中债0-3年政策性金融债C1.04022025-03-250.030.20-0.06-0.380.782.675.956.066.06-0.596.06
债券型005647广发汇佳定期开放债券1.03772025-03-250.050.20-0.01-0.540.803.727.6810.6816.84-0.7728.65
债券型007681鹏华丰登债券1.03702025-03-250.040.200.05-0.281.103.677.4310.0115.88-0.5318.76
债券型006464浦银安盛普益纯债A1.03662025-03-250.030.20-0.16-0.351.353.807.7010.2915.83-0.6823.20
债券型003259博时聚利3个月定开债发起式1.03632025-03-250.030.20-0.03-0.060.842.936.559.8217.04-0.2534.91
债券型005556汇安裕华定开债发起式1.03582025-03-250.030.200.090.051.504.499.8413.0319.70-0.3834.27
债券型019543浦银安盛普恒利率债1.03542025-03-250.020.20-0.18-0.391.053.325.275.275.27-0.675.27
债券型015107百嘉百顺纯债债券C1.03512025-03-25-0.010.200.07-0.360.231.394.625.82180.33-0.45180.33
债券型006827中加瑞鑫纯债债券1.03432025-03-250.030.200.10-0.210.551.855.598.8713.86-0.3719.40
债券型013297嘉合磐固一年定开纯债债券发起式1.03402025-03-210.000.20-0.10-0.151.053.609.2312.3014.48-0.2714.48
债券型008516浦银安盛盛熙一年定开债券1.03402025-03-250.040.20-0.09-0.261.543.627.8810.6715.61-0.4415.61
债券型017441英大安旸纯债债券C1.03392025-03-250.020.20-0.17-0.610.442.425.315.675.67-0.885.67
债券型005427渤海汇金汇增利3个月定开1.03302025-03-250.030.200.03-0.061.083.697.7210.1312.08-0.3915.06
债券型015410中信建投景安债券A1.03242025-03-250.020.20-0.10-0.610.643.087.379.219.21-0.959.21
债券型007693永赢鼎利债券C1.03232025-03-250.020.200.04-0.320.843.267.039.8415.56-0.4515.56
债券型017566惠升中债0-3年政策性金融债A1.03212025-03-250.030.20-0.06-0.360.852.796.166.266.26-0.586.26
债券型003838东方臻享纯债债券C1.03132025-03-250.020.200.090.100.922.658.9213.3014.320.0055.57
债券型003837东方臻享纯债债券A1.03072025-03-250.030.200.100.130.972.759.1612.7322.150.0243.82
债券型018929蜂巢丰旭债券C1.02922025-03-250.030.20-0.15-0.361.132.922.922.922.92-0.542.92
债券型008296广发汇利一年定期开放债券1.02682025-03-210.070.20-0.31-0.470.643.058.0412.3620.17-0.5822.32
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016955国联恒润纯债A1.02292025-03-250.030.200.04-0.110.933.046.557.127.12-0.337.12
债券型021335国联利率债A1.02202025-03-250.020.20-0.11-0.610.982.202.202.202.20-0.852.20
债券型020762汇添富丰泰纯债C1.02192025-03-250.050.20-0.23-0.390.202.182.192.192.19-0.462.19
债券型007908招商添韵3个月定开债A1.02162025-03-250.030.200.070.051.803.476.809.5615.33-0.1217.07
债券型021392中信建投中债0-3年政金债指数A1.02092025-03-250.020.20-0.17-0.700.762.092.092.092.09-0.862.09
债券型017782博时恒享债券A1.02062025-03-250.080.200.29-0.292.713.372.062.062.06-0.402.06
债券型015841惠升中债1-5年政策性金融债C1.02052025-03-250.030.20-0.11-0.691.133.827.949.779.77-0.949.77
债券型021393中信建投中债0-3年政金债指数C1.02012025-03-250.020.20-0.18-0.730.712.012.012.012.01-0.882.01
债券型014481华夏鼎优债券C1.02002025-03-250.000.20-0.20-0.97-1.35-1.252.893.243.24-1.163.24
债券型004924华夏鼎祥三个月定开债C1.02002025-03-250.030.200.20-0.140.873.095.988.880.00-0.3214.90
债券型018427信澳瑞享利率债A1.01912025-03-250.030.20-0.13-0.351.193.716.156.156.15-0.646.15
债券型022721创金合信尊盛纯债债券C1.01702025-03-250.000.200.300.491.181.181.181.181.180.301.18
债券型002445兴业丰泰债券1.01702025-03-250.000.200.200.100.992.927.0010.8418.880.0031.84
债券型021336国联利率债C1.01502025-03-250.020.20-0.12-0.650.361.501.501.501.50-0.891.50
债券型005785创金合信汇誉六个月定开债C1.01292025-03-210.000.200.03-0.120.302.936.798.9814.63-0.1529.32
债券型020611东吴恒益纯债债券A1.01212025-03-250.030.20-0.13-0.320.871.211.211.211.21-0.431.21
债券型022026金鹰中债0-3年政金债指数A1.01192025-03-250.040.20-0.03-0.351.191.191.191.191.19-0.611.19
债券型007525易方达年年恒夏一年定开债A1.01182025-03-250.040.200.250.181.093.077.9311.2419.400.0724.24
债券型017793国联安聚利39个月封闭式债券1.01132025-03-250.030.200.410.761.533.286.516.656.650.666.65
债券型013951创金合信尊隆纯债C1.01132025-03-250.040.200.230.341.413.366.857.377.910.157.91
债券型022027金鹰中债0-3年政金债指数C1.01112025-03-250.030.20-0.05-0.351.111.111.111.111.11-0.611.11
债券型020337富达90天债券A1.01112025-03-250.080.20-0.42-1.16-0.570.781.111.111.11-1.211.11
债券型020612东吴恒益纯债债券C1.01082025-03-250.030.20-0.15-0.360.771.081.081.081.08-0.481.08
债券型011796新华中债0-3年政策性金融债指数A1.00982025-03-250.020.20-0.15-0.660.540.980.980.980.98-0.770.98
债券型003673中加丰裕纯债债券A1.00982025-03-250.020.200.05-0.140.972.936.908.0913.00-0.4836.22
债券型519333浦银安盛盛达纯债债券C1.00942025-03-250.030.20-0.03-0.470.532.284.816.9011.24-0.6030.23
债券型011797新华中债0-3年政策性金融债指数C1.00942025-03-250.030.20-0.15-0.680.520.940.940.940.94-0.790.94
债券型002438创金合信尊盛纯债债券A1.00902025-03-250.100.200.200.100.793.368.6412.1319.650.0044.21
债券型022056嘉实季季惠享3个月持有期纯债A1.00872025-03-250.040.200.220.160.830.870.870.870.87-0.080.87
债券型015840惠升中债1-5年政策性金融债A1.00792025-03-250.030.20-0.12-0.661.243.978.2010.0410.04-0.9110.04
债券型004923华夏鼎祥三个月定开债A1.00792025-03-250.030.200.21-0.120.913.196.209.2116.42-0.3028.20
债券型161911万家强化收益定开债1.00772025-03-250.040.200.150.020.772.335.417.8014.78-0.0679.27
债券型022057嘉实季季惠享3个月持有期纯债C1.00752025-03-250.050.200.210.110.720.750.750.750.75-0.130.75
债券型013703招商添福1年定开债1.00632025-03-250.040.20-0.47-1.33-0.131.895.708.639.72-1.399.72
债券型005704永赢增益债券C1.00162025-03-250.050.20-0.05-0.200.632.185.998.7215.12-0.6229.22
债券型012938创金合信尊泓债券A0.99662025-03-250.030.20-0.07-0.380.361.775.348.5310.39-0.4310.39
债券型015411中信建投景安债券C0.96432025-03-250.020.20-0.11-0.670.452.756.67-3.57-3.57-1.02-3.57
债券型013520富荣中短债债券A0.95372025-03-250.020.200.320.431.393.567.34-5.37-4.630.33-4.63
债券型013521富荣中短债债券C0.94732025-03-250.020.200.300.371.293.356.91-5.95-5.270.28-5.27
混合型001190鹏华弘润混合A1.65132025-03-250.000.200.430.592.550.680.117.1628.030.4465.13
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
混合型000590华安新活力灵活配置混合A1.48802025-03-250.130.20-0.931.168.858.771.991.0917.351.4381.66
混合型519755交银多策略回报灵活配置混合A1.48202025-03-250.090.201.260.612.422.561.091.5119.000.6163.40
混合型005329汇添富民安增益定开混合A1.44402025-03-250.100.201.171.153.412.923.618.5428.630.7244.40
混合型005902诺安汇利混合C1.38112025-03-250.090.200.310.412.88-11.26-12.78-10.5424.860.0438.11
债券型021521中信保诚稳鸿E5.06782025-03-250.070.200.400.190.871.871.871.871.870.101.87
债券型016377易米和丰债券C1.40282025-03-250.040.20-0.48-1.120.142.721.3640.2840.28-1.2840.28
债券型004042华夏鼎茂债券A1.38042025-03-250.020.200.170.612.375.9312.7315.4421.940.2145.32
债券型004043华夏鼎茂债券C1.37862025-03-250.020.200.170.582.345.8412.5215.0821.320.1944.22
债券型007829创金合信信用红利债券C1.28162025-03-250.040.200.190.200.722.967.3810.8221.260.0228.16
债券型008700泰康瑞丰3月定开债券1.21952025-03-250.020.200.110.380.784.9111.4114.4921.95-0.0221.95
债券型006865泰康安惠纯债债券C1.18812025-03-250.040.200.210.160.992.255.399.0814.630.0220.18


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