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070025嘉实信用债券A1.32922025-03-250.110.22-0.110.061.373.347.3711.2316.53-0.3286.78
债券型003376广发中债7-10年国开债指数A1.31762025-03-250.110.65-0.87-0.722.056.8214.5719.4327.93-1.4445.15
债券型011062广发中债7-10年国开债指数E1.31202025-03-250.110.65-0.88-0.742.016.7214.3519.0927.18-1.4627.18
债券型000150华安双债添利债券C1.29752025-03-250.110.10-0.35-0.281.532.964.866.0210.54-0.4376.86
债券型519030海富通稳固收益债券C1.28172025-03-250.11-0.150.161.176.847.186.007.9822.361.17107.90
债券型008572金信民达纯债C1.25692025-03-250.11-0.020.061.377.677.018.9013.5625.691.1525.69
债券型006057鹏华丰和债券(LOF)C1.23022025-03-250.110.380.09-0.81-0.160.26-2.98-3.976.33-0.8322.90
债券型007391申万菱信安泰丰利债券A1.22282025-03-250.11-0.34-0.360.073.034.226.779.8518.42-0.3022.27
债券型008791招商安华债券A1.22222025-03-250.11-0.260.730.636.986.567.3911.7825.980.3825.98
债券型009000景顺景颐嘉利6个月持有期债券C1.21782025-03-250.11-0.460.330.295.656.297.629.5621.780.4921.78
债券型007392申万菱信安泰丰利债券C1.21752025-03-250.11-0.34-0.360.043.024.156.609.6317.96-0.3321.74
债券型008792招商安华债券C1.20472025-03-250.11-0.260.700.556.826.236.7410.7824.100.3224.10
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001013华夏希望债券C1.19952025-03-250.110.080.340.282.885.148.598.1516.20-0.03114.64
债券型001011华夏希望债券A1.19822025-03-250.110.080.360.353.035.459.229.1317.920.03126.02
债券型007537景顺长城景泰盈利纯债1.19572025-03-250.110.460.05-0.071.154.169.3813.5722.83-0.3327.88
债券型003847华安鼎丰债券发起式A1.17292025-03-250.110.49-0.02-0.310.272.527.679.8316.54-0.5542.07
债券型021126华安鼎丰债券发起式E1.17162025-03-250.110.48-0.03-0.320.202.412.412.412.41-0.572.41
债券型002946大成景盛一年定开债A1.16982025-03-250.11-0.100.07-0.123.354.243.324.7316.17-0.1023.12
债券型007838国寿安保尊耀纯债C1.16692025-03-250.11-0.22-0.260.273.084.556.058.8116.370.0719.90
债券型013380景顺长城景泰纯利债券C1.16352025-03-250.110.16-0.100.463.555.298.9010.0810.080.2410.08
债券型010603长城中债5-10年国开债指数A1.16302025-03-250.110.61-0.79-0.641.936.9213.5517.2218.28-1.2918.28
债券型003682博时安弘一年定开债发起式A1.16142025-03-250.110.48-0.22-0.530.782.827.9011.4913.93-0.6834.37
债券型002524兴业福益债券A1.15952025-03-250.110.160.030.193.974.779.4211.9421.44-0.0435.11
债券型021728兴业福益债券C1.15752025-03-250.110.160.020.123.823.043.043.043.04-0.113.04
债券型970037华安证券睿赢一年持有债券B1.15532025-03-250.11-0.04-0.06-0.351.443.609.5814.9215.53-0.2915.53
债券型700005平安添利债券A1.14952025-03-250.110.120.060.452.213.829.4910.4618.440.2489.70
债券型000187华泰柏瑞丰盛纯债债券A1.14822025-03-250.110.63-0.15-0.230.692.627.2410.5519.60-0.6573.89
债券型700006平安添利债券C1.14562025-03-250.110.110.030.342.003.408.629.1316.080.1680.00
债券型006853中银汇享债券1.14462025-03-250.110.49-0.13-0.200.694.049.9313.5418.45-0.6422.85
债券型003683博时安弘一年定开债发起式C1.13882025-03-250.110.47-0.25-0.630.592.417.0410.1711.67-0.7729.95
债券型003777南方宣利定开债C1.13872025-03-250.110.530.25-0.050.643.057.7611.7918.200.0236.30
债券型000188华泰柏瑞丰盛纯债债券C1.13692025-03-250.110.63-0.18-0.330.502.206.379.2417.22-0.7366.52
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
债券型000720南方稳利1年持有期债券C1.13012025-03-250.110.37-0.14-0.060.972.177.0610.2117.15-0.3248.14
债券型011653国泰鑫享稳健6个月滚动持有债券1.12932025-03-250.110.000.540.733.596.329.8511.9812.930.7012.93
债券型007283华夏鼎淳债券C1.12842025-03-250.110.100.53-0.251.262.953.843.5613.84-0.2518.16
债券型000254长城增强收益定开债券A1.12792025-03-250.11-0.090.201.083.697.1516.2017.8227.600.2985.24
债券型000255长城增强收益定开债券C1.12492025-03-250.11-0.100.170.983.506.7215.2716.4125.080.2076.97
债券型020787国寿安保泰裕债券A1.12252025-03-250.110.381.570.543.5612.0912.2512.2512.250.6512.25
债券型017837博时中债7-10政金债指数A1.12162025-03-250.110.56-0.73-0.552.547.3815.0115.0615.06-1.1815.06
债券型022079泰信债券周期回报D1.11992025-03-250.110.55-0.13-0.46-0.94-0.85-0.85-0.85-0.85-0.51-0.85
债券型017838博时中债7-10政金债指数C1.11982025-03-250.110.56-0.74-0.572.477.2714.7714.8214.82-1.2014.82
债券型020788国寿安保泰裕债券C1.11862025-03-250.110.381.530.443.4211.7111.8611.8611.860.5711.86
债券型022078泰信债券周期回报C1.11632025-03-250.110.52-0.18-0.60-1.26-1.17-1.17-1.17-1.17-0.64-1.17
债券型018566恒生前海恒源泓利债券A1.11202025-03-250.110.50-0.01-0.290.541.4242.0042.0042.00-0.3042.00
债券型003207博时富发纯债债券A1.11182025-03-250.110.60-0.11-0.061.544.2910.7113.4519.33-0.5541.58
债券型018098博时富发纯债债券C1.10922025-03-250.110.60-0.11-0.081.484.1610.4610.6010.60-0.5710.60
债券型008569中航瑞智纯债A1.10842025-03-250.110.330.100.282.144.3910.1110.8410.840.0310.84
债券型012818招商享诚增强债券A1.10792025-03-250.110.070.74-0.311.794.177.0811.4010.79-0.6610.79
债券型013545华夏卓信一年定开债券发起式1.10672025-03-250.110.110.490.483.044.768.6210.6710.670.1410.67
债券型008570中航瑞智纯债C1.10422025-03-250.110.340.090.251.994.189.7710.4210.420.0110.42
债券型008571金信民达纯债A1.10382025-03-250.11-0.030.061.427.797.239.3514.2626.901.1926.90
债券型007969西部利得得尊纯债C1.10112025-03-250.11-0.04-0.130.642.894.667.9410.7219.390.4223.63
债券型005436圆信永丰兴瑞定开债1.09442025-03-250.110.40-0.03-0.350.977.5612.0014.9921.20-0.5234.53
债券型018847华泰保兴尊睿6个月持有债券发起C1.08482025-03-250.110.060.090.532.084.958.488.488.480.388.48
债券型020709同泰恒盛债券D1.08152025-03-250.110.76-0.320.101.083.063.043.043.04-0.153.04
债券型017622同泰恒盛债券A1.08152025-03-250.110.75-0.330.091.083.0532.0932.0932.09-0.1532.09
债券型016031民生加银瑞华绿债一年定开发起1.07682025-03-250.110.49-0.06-0.071.163.557.367.687.68-0.457.68
债券型009435淳厚稳嘉债券C1.07532025-01-230.110.000.00-4.870.882.116.229.0513.30-4.8313.30
债券型003614中信保诚景瑞债券A1.06792025-03-250.110.41-0.46-0.510.845.138.1510.1615.84-0.8735.17
债券型018679招商安和债券A1.06732025-03-250.110.310.45-0.081.843.716.736.736.73-0.316.73
债券型000028华富安鑫债券A1.06702025-03-250.11-2.19-1.566.1621.3712.995.983.078.596.6561.95
债券型020556中信保诚景瑞债券D1.06662025-03-250.110.41-0.46-0.511.371.371.371.371.37-0.871.37
债券型022830华富安鑫债券C1.06632025-03-250.11-2.20-1.596.095.685.685.685.685.686.585.68
债券型021863招商安和债券E1.06512025-03-250.110.300.43-0.171.692.082.082.082.08-0.382.08
债券型013546财通资管鸿享30天滚动中短债A1.06432025-03-250.110.49-0.04-0.200.863.728.4511.3613.42-0.3813.42
债券型003615中信保诚景瑞债券C1.06382025-03-250.110.42-0.44-0.510.694.907.729.5814.82-0.8733.41
债券型018680招商安和债券C1.06102025-03-250.110.300.43-0.181.663.316.106.106.10-0.396.10
债券型013547财通资管鸿享30天滚动中短债C1.05862025-03-250.110.48-0.05-0.250.763.528.0110.7012.61-0.4312.61
债券型015141华泰紫金周周购6个月滚动债A1.05672025-03-250.11-0.010.090.854.226.546.405.645.670.515.67
股票型161030富国中证体育产业指数(LOF)A0.92702025-03-260.11-4.04-3.842.0925.1010.75-5.028.17-5.424.04-37.48
股票型022177东财消费电子指数增强E0.87562025-03-260.11-3.89-7.301.9734.2937.7637.7637.7637.765.6237.76
股票型018380万家国证新能源车电池指数发起式C0.85282025-03-260.11-3.45-2.137.2227.0917.71-14.72-14.72-14.729.04-14.72
股票型018379万家国证新能源车电池指数发起式A0.85492025-03-260.11-3.44-2.127.2627.2017.95-14.51-14.51-14.519.09-14.51
股票型016349景顺长城国证新能源车电池ETF联接0.63792025-03-260.11-3.45-2.257.3728.2219.30-15.43-37.12-37.129.12-37.12
股票型016268建信中证500指数量化增强发起C1.03932025-03-260.11-1.81-0.551.6516.9913.08-3.143.933.933.443.93
股票型016267建信中证500指数量化增强发起A1.04632025-03-260.11-1.80-0.531.7317.1713.43-2.554.634.633.534.63
股票型015874工银国证新能源车电池ETF发起式联0.62282025-03-260.11-3.44-2.157.3829.9720.96-14.25-37.72-37.729.21-37.72
股票型015871景顺长城国证新能源车电池ETF联接0.64462025-03-260.11-3.45-2.237.4928.4619.77-14.77-35.54-35.549.22-35.54
股票型014364银华沪港深增长股票C1.77102025-03-260.11-2.101.437.865.428.12-14.03-11.49-33.458.65-33.45
股票型013278富国中证体育产业指数(LOF)C0.92202025-03-260.11-4.06-3.761.9925.1010.55-5.347.586.344.066.34
股票型012768华夏中证动漫游戏ETF联接A1.21612025-03-260.11-6.06-7.209.7634.7612.44-1.3331.4121.6113.4021.61
股票型012319东财消费电子增强A0.87542025-03-260.11-3.89-7.292.0434.2635.3614.781.80-12.465.70-12.46
股票型010806东财新能源车C0.88202025-03-260.11-3.87-3.676.7928.7815.31-17.87-30.86-11.808.74-11.80
股票型010805东财新能源车A0.89722025-03-260.11-3.86-3.636.9129.0415.77-17.21-30.02-10.288.86-10.28
股票型007524汇添富内需增长股票C1.13352025-03-260.11-2.663.214.535.426.87-12.75-7.9214.905.3813.35
股票型007523汇添富内需增长股票A1.17462025-03-260.11-2.653.264.685.737.51-11.70-6.2518.445.5317.46
股票型004189华商消费行业股票1.16512025-03-260.11-1.525.402.918.98-3.21-15.41-11.3111.554.01-17.06
指数型161030富国中证体育产业指数(LOF)A0.92702025-03-260.11-4.04-3.842.0925.1010.75-5.028.17-5.424.04-37.48
指数型022177东财消费电子指数增强E0.87562025-03-260.11-3.89-7.301.9734.2937.7637.7637.7637.765.6237.76
指数型018380万家国证新能源车电池指数发起式C0.85282025-03-260.11-3.45-2.137.2227.0917.71-14.72-14.72-14.729.04-14.72
指数型018379万家国证新能源车电池指数发起式A0.85492025-03-260.11-3.44-2.127.2627.2017.95-14.51-14.51-14.519.09-14.51
指数型016349景顺长城国证新能源车电池ETF联接0.63792025-03-260.11-3.45-2.257.3728.2219.30-15.43-37.12-37.129.12-37.12
指数型016268建信中证500指数量化增强发起C1.03932025-03-260.11-1.81-0.551.6516.9913.08-3.143.933.933.443.93
指数型016267建信中证500指数量化增强发起A1.04632025-03-260.11-1.80-0.531.7317.1713.43-2.554.634.633.534.63
指数型015874工银国证新能源车电池ETF发起式联0.62282025-03-260.11-3.44-2.157.3829.9720.96-14.25-37.72-37.729.21-37.72
指数型015871景顺长城国证新能源车电池ETF联接0.64462025-03-260.11-3.45-2.237.4928.4619.77-14.77-35.54-35.549.22-35.54
指数型013278富国中证体育产业指数(LOF)C0.92202025-03-260.11-4.06-3.761.9925.1010.55-5.347.586.344.066.34
指数型012768华夏中证动漫游戏ETF联接A1.21612025-03-260.11-6.06-7.209.7634.7612.44-1.3331.4121.6113.4021.61
指数型012319东财消费电子增强A0.87542025-03-260.11-3.89-7.292.0434.2635.3614.781.80-12.465.70-12.46
指数型010806东财新能源车C0.88202025-03-260.11-3.87-3.676.7928.7815.31-17.87-30.86-11.808.74-11.80
指数型010805东财新能源车A0.89722025-03-260.11-3.86-3.636.9129.0415.77-17.21-30.02-10.288.86-10.28
混合型013067富安达中小盘六个月持有混合发起0.64762025-03-250.11-1.130.500.8313.993.17-25.44-26.66-35.241.98-35.24
混合型011078诺德品质消费6个月持有混合0.62542025-03-250.11-1.362.21-0.1614.171.82-16.20-18.18-37.460.48-37.46
混合型020600国寿安保景气优选混合发起式A1.29092025-03-250.11-4.31-1.300.4522.8523.4729.0929.0929.091.6829.09
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007726招商瑞文混合C1.23282025-03-250.110.050.530.465.875.392.161.0720.180.4223.28
混合型016945中泰ESG主题6个月持有混合发起1.23232025-03-250.11-1.254.933.3214.5414.6223.2323.2323.233.8623.23
混合型010606创金合信鑫祥混合C1.18662025-03-250.11-0.170.961.716.866.698.2215.0618.661.6718.66
混合型015017国泰融丰外延增长混合(LOF)C1.16502025-03-250.11-0.67-0.661.365.805.111.541.250.991.500.99
混合型009413易方达招易一年持有期混合C1.16362025-03-250.110.480.79-1.031.263.875.497.1016.36-1.2616.36
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004517南方安康混合A1.12242025-03-250.110.260.86-0.275.226.226.328.1229.39-0.2153.83
混合型003295南方安裕混合A1.11352025-03-250.110.271.07-0.374.415.514.545.6621.07-0.2547.44
混合型020326南方安裕混合E1.11012025-03-250.110.271.05-0.444.265.197.647.647.64-0.327.64
混合型006586南方安裕混合C1.08972025-03-250.110.261.03-0.524.104.873.283.7617.50-0.3935.02
混合型019730华夏国企红利混合发起式C1.06902025-03-250.110.074.50-1.469.717.066.906.906.90-1.146.90
混合型011729工银聚享混合A1.05002025-03-250.11-1.591.736.7221.2523.5910.835.265.006.845.00
混合型013267天弘安康颐利混合A1.04862025-03-250.110.240.33-0.332.334.434.074.864.86-0.384.86
混合型022296天弘安康颐利混合E1.04822025-03-250.110.230.32-0.341.651.651.651.651.65-0.391.65
混合型022555天弘安康颐利混合F1.04712025-03-250.110.230.30-0.430.760.760.760.760.76-0.470.76
混合型011730工银聚享混合C1.04532025-03-250.11-1.601.706.6221.0123.099.945.144.536.754.53
混合型013268天弘安康颐利混合C1.04392025-03-250.110.240.33-0.332.324.343.804.394.39-0.384.39
混合型017021中银招盈一年持有混合A1.04212024-11-210.110.040.201.211.233.714.214.214.213.974.21
混合型012029广发恒鑫一年持有期混合A1.03952025-03-250.11-0.87-0.732.468.516.13-1.313.053.952.893.95
混合型018815方正富邦核心优势混合A1.03782025-03-250.11-0.382.68-1.577.313.393.783.783.78-0.993.78
混合型012030广发恒鑫一年持有期混合C1.03552025-03-250.11-0.86-0.732.448.456.02-1.502.743.552.863.55
混合型016824嘉实方舟一年持有期混合A1.03412025-03-250.110.330.600.681.842.273.413.413.410.353.41
混合型009124华泰保兴科荣混合A1.03032025-03-250.110.62-2.52-2.511.841.821.063.4521.24-2.5321.24
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018816方正富邦核心优势混合C1.02902025-03-250.11-0.392.63-1.726.982.682.902.902.90-1.122.90
混合型009125华泰保兴科荣混合C1.02632025-03-250.110.61-2.53-2.531.881.810.963.2520.77-2.5420.77
混合型012661广发恒益一年持有期混合A1.02532025-03-250.11-0.80-0.942.529.266.89-0.093.532.532.812.53
混合型017220永赢合嘉一年持有混合A1.02512025-03-250.11-0.33-0.270.813.581.172.102.512.510.632.51
混合型017221永赢合嘉一年持有混合C1.01602025-03-250.11-0.34-0.300.713.390.781.301.601.600.541.60
混合型020099万家惠诚回报平衡一年持有期混合C1.01192025-03-250.11-0.48-0.260.282.011.931.941.941.940.241.94
混合型009133汇安嘉利混合A1.01132025-03-250.11-0.120.360.673.954.29-3.34-8.471.130.671.13
混合型012662广发恒益一年持有期混合C1.01052025-03-250.11-0.80-0.962.429.056.47-0.882.301.052.721.05
混合型006548红塔红土盛弘混合C0.99642025-03-250.11-1.680.324.4723.9621.62-4.04-10.6737.535.9354.16
混合型021650东方红红利量化选股混合发起A0.99162025-03-250.11-0.162.91-0.36-0.82-0.84-0.84-0.84-0.840.31-0.84
混合型016571嘉实价值丰润混合C0.98432025-03-250.11-1.921.820.759.156.83-10.62-1.57-1.570.83-1.57
混合型011293中金恒远一年持有期混合0.96722025-03-250.110.270.920.353.590.52-1.19-0.81-3.280.12-3.28
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006235东方城镇消费主题混合0.80572025-03-250.11-2.60-2.11-3.138.08-15.67-30.15-31.53-25.09-1.29-19.44
债券型015489申万菱信稳鑫30天滚动持有短债债1.05532025-03-250.110.671.551.541.892.474.165.535.531.505.53
债券型022232鹏华双债保利债券A1.05202025-03-250.11-0.66-0.140.455.205.205.205.205.200.645.20
债券型016433财通资管睿兴债券C1.04992025-03-250.110.54-0.53-0.871.214.657.057.057.05-1.187.05
债券型013251中信建投稳硕债券A1.04922025-03-250.110.51-0.16-0.310.913.698.4811.5613.23-0.7113.23


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