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%
混合型011792招商瑞盈9个月持有期混合C1.04892025-03-250.080.050.851.186.355.904.172.944.891.024.89
混合型019188中银证券和瑞一年持有混合C1.04342025-03-250.060.05-0.010.302.183.374.344.344.340.054.34
混合型519627银河君润混合A1.03372025-03-250.010.050.262.747.765.581.762.5916.442.7642.62
混合型003846汇安丰恒灵活配置混合C1.01072025-03-250.130.05-0.27-0.232.765.05-4.56-4.052.48-0.291.07
混合型013353鹏华上华一年持有期混合A1.00952025-03-250.090.050.270.932.353.34-0.100.910.950.650.95
混合型014616尚正正鑫混合发起C1.00412025-03-250.000.050.281.327.719.492.770.620.411.480.41
混合型023099金信周期价值混合A1.00062025-03-250.030.050.060.060.060.060.060.060.060.060.06
混合型022547泓德悦享一年持有期混合A1.00022025-03-210.000.050.280.020.020.020.020.020.020.020.02
混合型003845汇安丰恒灵活配置混合A0.93172025-03-250.130.05-0.25-0.202.805.15-4.41-3.822.72-0.26-6.83
混合型013657同泰同欣混合A0.93122025-03-250.160.05-0.990.034.235.64-4.49-5.97-6.88-0.15-6.88
混合型014650永赢优质精选混合发起C0.39932024-12-270.180.051.94-2.080.96-18.16-39.690.00-60.07-20.55-60.07
货币型519589交银货币B2.12392025-03-250.020.050.160.420.881.834.106.2010.820.4066.09
货币型020827交银货币D2.12312025-03-250.020.050.160.420.881.831.961.961.960.401.96
货币型519588交银货币A2.05782025-03-250.020.050.140.360.761.593.615.449.500.3463.71
货币型020826交银货币C2.05742025-03-250.020.050.140.360.761.571.571.571.570.341.57
货币型000580中邮货币B1.76602025-03-250.020.050.130.380.801.713.795.629.920.3532.18
货币型001233嘉合货币B1.47022025-03-250.010.050.150.430.871.784.096.0310.730.4031.62
货币型004078金信民发货币B1.36942025-03-250.010.050.120.400.811.653.675.509.510.3722.34
货币型000874华安现金宝货币B1.08662025-03-250.010.050.150.450.901.884.186.2111.290.4323.63
QDII型019449摩根日本精选股票(QDII)C1.71142025-03-25-0.480.050.403.591.685.2012.7112.7112.711.7412.71
QDII型050203博时亚洲票息收益债券A美元现钞0.20622025-03-24-0.050.050.492.280.394.514.562.648.582.1847.72
QDII型050202博时亚洲票息收益债券A美元现汇0.20622025-03-24-0.050.050.492.280.394.514.562.648.582.1847.72
QDII型019481博时亚洲票息收益债券C美元现汇0.20602025-03-24-0.050.050.492.280.394.527.857.857.852.187.85
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007064浦银安盛上清所优选短融A1.05202025-03-250.010.050.140.191.562.845.056.8612.180.1514.71
债券型020392安信90天滚动持有债券C1.05032025-03-250.030.05-0.210.612.124.055.035.035.030.345.03
债券型007736民生加银聚鑫三年定开债1.04912025-03-210.000.050.190.511.162.484.797.0513.290.4415.01
债券型007567南方恒新39个月A1.04852025-03-250.010.050.190.581.412.695.228.9518.850.5321.79
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008018华富安兴39个月定开债A1.04492025-03-210.000.050.200.631.502.885.718.8215.670.5416.82
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007065浦银安盛上清所优选短融C1.04152025-03-250.010.050.130.141.452.634.646.2311.260.1113.64
债券型019813国联安恒通3个月定开债券1.04132025-03-210.000.050.070.030.882.724.134.134.13-0.224.13
债券型002447博时裕安纯债定开债发起式1.04112025-03-210.000.05-0.18-0.111.012.246.109.3315.70-0.1936.76
债券型006316平安惠诚纯债A1.04092025-03-250.000.050.13-0.050.593.357.7510.5315.92-0.1135.39
债券型009890华润元大润禧39个月定开债C1.04022025-03-210.000.050.160.511.272.445.409.1114.800.4414.80
债券型020079金信民富债券C1.03972025-03-250.020.05-0.170.031.122.6339.9139.9139.91-0.2639.91
债券型008003大成通嘉三年定开债券A1.03862025-03-250.010.050.190.571.552.965.928.6915.340.5316.44
债券型019956国联中债0-3年政金债指数C1.03752025-03-25-0.010.050.12-0.101.183.444.754.754.75-0.274.75
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004242兴业稳康三年定开债券1.03542025-03-250.010.050.190.581.552.805.618.2613.230.5423.52
债券型020536建信开元瑞享3个月持有期债券A1.03512025-03-250.050.050.030.341.813.293.513.513.510.113.51
债券型009417国投瑞银顺荣定开债券A1.03512025-03-250.000.050.190.581.242.555.379.2615.260.5415.26
债券型013982嘉合磐立一年定开纯债债券发起式1.03502025-03-210.000.05-0.250.052.163.647.9411.2611.56-0.2711.56
债券型009148平安合聚定开债1.03502025-03-250.010.050.130.241.824.128.4411.9716.520.2116.52
债券型021345永赢汇享债券A1.03402025-03-250.090.050.051.143.373.403.403.403.400.663.40
债券型020819鹏扬永利90天持有债券C1.03332025-03-250.100.050.020.452.363.333.333.333.330.453.33
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021260国泰君安120天持有债券发起A1.03302025-03-250.010.050.150.361.443.303.303.303.300.333.30
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021261国泰君安120天持有债券发起C1.03142025-03-250.010.050.140.311.353.143.143.143.140.283.14
债券型015445申万菱信绿色纯债债券发起式A1.02922025-03-250.010.050.04-0.180.231.182.902.922.92-0.222.92
债券型007682鹏华锦利两年定开债1.02882025-03-250.000.050.190.591.252.545.048.1016.270.5517.58
债券型009418国投瑞银顺荣定开债券C1.02682025-03-250.010.050.190.551.172.415.058.7114.400.5114.40
债券型021235摩根瑞欣利率债债券A1.02572025-03-250.020.050.07-0.212.193.573.573.573.57-0.413.57
债券型008523安信丰泽39个月定开债1.02542025-03-250.000.050.190.601.272.605.037.9113.150.5613.24
债券型021236摩根瑞欣利率债债券C1.02332025-03-250.020.050.06-0.331.993.333.333.333.33-0.533.33
债券型004567新华安享惠泽39个月定开债A1.02162025-03-210.000.050.170.501.052.624.887.9213.720.4313.74
债券型020891易方达安丰六个月持有债券A1.01902025-03-250.000.050.140.200.721.901.901.901.900.111.90
债券型020936国联益诚30天持有债券发起式C1.01852025-03-250.000.050.140.341.361.851.851.851.850.271.85
债券型019841恒生前海中债0-3年政策性金融债A1.01782025-03-25-0.010.050.10-0.300.672.623.993.993.99-0.393.99
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007948汇添富盛安39个月定开债1.01742025-03-250.010.050.210.621.542.945.808.7416.150.5817.82
债券型020892易方达安丰六个月持有债券C1.01692025-03-250.000.050.130.150.601.691.691.691.690.071.69
债券型007913财通资管丰和两年定开债A1.01692025-03-210.000.050.170.511.362.525.037.8414.900.4415.65
债券型008219西部利得尊逸三年定开债券1.01682025-03-250.010.050.200.631.562.875.768.7115.230.5816.12
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167505安信中短利率债(LOF)C1.01502025-03-250.010.050.15-0.191.092.926.459.2215.57-0.2118.95
债券型019122安信中短利率债(LOF)D1.01472025-03-250.000.050.15-0.221.052.864.464.464.46-0.244.46
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006664易方达安悦超短债F1.01392025-03-250.010.050.170.310.821.874.717.2012.780.2418.24
债券型009792工银瑞益债券A1.01382025-03-250.000.050.130.000.651.834.277.0310.04-0.0610.04
债券型020933南方尊享稳健增利债券A1.01372025-03-250.100.050.750.101.401.371.371.371.37-0.091.37
债券型008608广发汇浦三年定期开放债券1.01372025-03-210.000.050.170.511.062.424.868.3313.990.4413.99
债券型006663易方达安悦超短债C1.01352025-03-250.010.050.160.270.751.714.386.7011.940.2017.34
债券型008693民生加银39个月定期纯债1.01212025-03-250.010.050.210.581.192.815.168.3614.570.5415.11
债券型020934南方尊享稳健增利债券C1.01172025-03-250.100.050.740.031.261.171.171.171.17-0.151.17
债券型008440融通通华五年定开债券C1.01082025-03-210.000.050.220.701.402.895.405.405.400.615.40
债券型007990富国汇远三年定开债A1.01032025-03-250.010.050.210.661.392.785.658.7015.370.6116.48
债券型012806招商添呈1年定开债1.01022025-03-210.000.05-0.09-0.171.153.086.749.8512.31-0.3212.31
债券型007970国寿安保安泽39个月定开债1.00972025-03-210.000.050.190.601.472.965.728.7615.580.5316.76
债券型007957华宝宝惠债券1.00972025-03-210.000.050.220.671.382.985.729.0316.050.5817.26
债券型016765百嘉百盈纯债债券1.00922025-03-250.010.050.100.130.852.545.926.006.000.086.00
债券型009839国金惠丰39个月定开债1.00912025-03-210.000.050.190.601.232.565.228.9014.700.5314.70
债券型020530汇安中债0-3年政金债指数A1.00892025-03-250.000.050.15-0.350.890.890.890.890.89-0.370.89
债券型022061申万菱信季季瑞三个月持有期纯债1.00842025-03-250.010.050.120.340.840.840.840.840.840.250.84
债券型009255中银添盛39个月定期开放债券1.00752025-03-210.000.050.190.571.362.625.328.9914.770.4914.77
债券型007761鑫元安睿三年定开债1.00722025-03-210.000.050.170.541.142.564.977.3514.350.4616.30
债券型008217国泰聚盈三年定期开放债券1.00702025-03-250.010.050.190.591.582.845.728.4213.470.5414.14
债券型021435博时季季兴90天滚动持有债券A1.00632025-03-250.020.050.050.160.630.630.630.630.630.080.63
债券型009894前海开源惠盈39个月定开债券1.00622025-03-210.000.050.190.601.232.565.739.5715.340.5215.34
债券型021436博时季季兴90天滚动持有债券C1.00552025-03-250.020.050.040.110.550.550.550.550.550.030.55
债券型015866中信建投景泰债券C1.00512025-03-250.030.050.060.060.712.135.076.356.35-0.026.35
债券型008002银华稳晟39个月定开债1.00502025-03-210.000.050.210.681.402.835.708.7115.860.5917.18
债券型008339嘉实安元39个月定期纯债C1.00482025-03-250.010.050.170.511.082.404.597.3313.060.4713.87
债券型021942中海丰泽利率债C1.00422025-03-250.000.05-0.02-0.710.410.410.410.410.41-1.070.41
债券型009579东方红鑫安39个月定开债券1.00282025-03-210.000.050.190.591.242.595.629.4115.150.5115.15
债券型008471工银泰颐三年定开债券A1.00152025-03-250.000.050.200.591.502.905.788.5314.790.5515.50
债券型008561中邮淳悦39个月定开债C1.00052025-03-210.000.050.190.571.202.525.198.6813.960.4913.96
债券型851816海通鑫选三个月持有债券C0.95922025-03-250.020.050.831.834.074.502.49-1.39-4.981.90-4.98
混合型003591华泰柏瑞享利混合A1.50872025-03-250.100.050.800.984.666.0610.4018.0042.320.9276.59
混合型003592华泰柏瑞享利混合C1.48462025-03-250.100.050.790.924.565.809.7816.9340.940.8773.92
混合型001017宏利改革动力混合A1.35402025-03-250.400.054.55-0.2310.241.11-15.24-19.684.640.3360.08
债券型000184工银添福债券A1.91402025-03-250.210.050.900.5810.5710.2511.2814.6825.590.58110.17
债券型000185工银添福债券B1.86902025-03-250.210.050.860.5410.469.9410.6613.6223.450.54105.16
债券型002245泰康稳健增利债券A1.42732025-03-250.090.05-0.090.331.723.476.8910.4518.600.0742.73
债券型519685交银双利债券C1.31582025-03-250.030.050.060.050.672.402.173.596.72-0.0874.50
债券型003050农银汇理金丰一年定开债1.28942025-03-25-0.010.050.13-0.171.152.285.708.4114.43-0.2330.00
债券型970003安信瑞鸿中短债A1.17652025-03-250.010.050.120.200.791.995.308.1415.000.1615.00
债券型013423宝盈安盛中短债债券A1.17262025-03-250.000.050.0910.8612.4113.1516.0017.2617.26-0.2617.26
债券型550004中信保诚三得益债券A1.16982025-03-250.130.050.32-0.47-0.092.032.284.6816.81-0.53111.96
债券型003487平安惠融纯债1.15912025-03-250.000.050.120.040.711.925.1210.6015.90-0.0232.64
债券型550005中信保诚三得益债券B1.14632025-03-250.120.050.31-0.48-0.102.031.943.9215.06-0.5498.08
债券型005322中银丰禧定期开放债券1.13492025-03-210.000.050.110.070.691.784.366.8412.39-0.0424.80
债券型009739嘉合磐泰短债E1.13342025-03-250.010.050.190.390.971.953.753.753.750.343.75
债券型007015嘉合磐泰短债C1.12922025-03-250.010.050.200.410.931.784.858.1016.410.3619.63
债券型009197北信瑞丰鼎盛中短债C1.11372025-03-250.000.05-0.22-0.68-0.151.294.095.7011.37-0.6511.37
债券型519121浦银安盛6个月持有期债券A1.11162025-03-250.010.05-0.04-0.121.733.436.277.9013.66-0.1750.18
债券型003213中银悦享定期开放债券发起式1.11162025-03-210.000.05-0.23-0.520.792.956.959.8016.51-0.6430.27
债券型023589长城中短债债券A1.10892025-03-250.010.05-0.08-0.08-0.08-0.08-0.08-0.08-0.08-0.08-0.08
债券型012453国泰利优30天滚动持有短债C1.10882025-03-250.010.050.180.330.841.864.827.8310.880.2910.88
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485020工银14天理财债券发起B1.10672025-03-250.010.050.160.250.681.513.675.590.000.2210.67
债券型002254长信金葵纯债A1.10602025-03-210.000.05-0.14-0.270.351.434.749.4520.58-0.3646.67
债券型010512工银7天理财债券C1.10512025-03-250.010.050.130.140.511.293.174.808.800.128.80
债券型013207万家稳鑫30天滚动持有短债A1.10432025-03-250.010.050.150.350.862.135.228.9510.430.2810.43
债券型002255长信金葵纯债C1.10432025-03-210.000.05-0.14-0.330.211.134.188.4518.53-0.4141.80
债券型167504安信中短利率债(LOF)A1.10362025-03-250.010.050.15-0.211.082.936.529.3429.70-0.2333.53
债券型016901工银四季收益债券C1.10212025-03-250.100.050.060.382.894.176.586.596.590.136.59
债券型008453兴全恒鑫债券C1.10162025-03-250.050.050.251.188.775.397.8911.0032.591.1133.28
债券型012247博时月月享30天持有期短债C1.09912025-03-250.010.050.150.230.852.065.167.509.910.179.91
债券型006024宝盈聚丰两年定开债券C1.09902025-03-250.010.050.150.491.032.084.266.8314.380.4716.41
债券型021311长信纯债壹号债券E1.09862025-03-250.010.050.220.140.621.691.691.691.69-0.011.69
债券型519985长信纯债壹号债券A1.09832025-03-250.010.050.160.100.611.965.398.4814.22-0.0575.32
债券型012279嘉实稳和6个月持有纯债A1.09762025-03-250.010.050.130.270.621.123.647.699.760.229.76
债券型023590长城中短债债券C1.09732025-03-250.020.05-0.09-0.09-0.09-0.09-0.09-0.09-0.09-0.09-0.09
债券型013208万家稳鑫30天滚动持有短债C1.09652025-03-250.020.050.140.300.761.924.808.309.650.249.65
债券型012948兴证全球恒利一年定开债券1.09592025-03-250.010.050.010.262.043.978.3511.3313.43-0.0513.43
债券型010510工银14天理财债券发起C1.09552025-03-250.010.050.140.170.511.172.974.528.550.148.55
债券型013718兴银稳益30天持有期债券A1.09452025-03-250.020.050.150.242.283.696.919.439.450.149.45
债券型012819招商享诚增强债券C1.09292025-03-250.100.050.70-0.411.583.736.2110.069.29-0.759.29
债券型018506创金合信益久9个月持有期债券A1.08912025-03-250.070.050.530.245.808.218.918.918.910.178.91
债券型012280嘉实稳和6个月持有纯债C1.08802025-03-250.000.050.100.200.490.873.116.958.800.168.80
债券型013719兴银稳益30天持有期债券C1.08782025-03-250.020.050.130.172.173.486.478.768.780.088.78
债券型012903平安添悦债券C1.08592025-03-250.020.05-0.070.054.295.1019.8616.4516.45-0.1616.45
债券型021151广发景秀纯债C1.08402025-03-250.000.05-0.50-1.30-0.222.982.982.982.98-1.352.98
债券型009851上银聚远盈42个月定开债券1.08242025-03-210.000.050.180.561.172.405.449.0414.950.4814.95


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