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009250易方达磐泰一年持有期混合C1.16032025-03-250.090.220.520.161.903.707.227.8616.030.0316.03
混合型010931国联安鑫元1个月持有混合A1.15162025-03-250.090.320.250.387.7210.6412.1016.5015.160.1615.16
混合型001802易方达瑞财混合I1.15002025-03-250.090.000.090.977.788.5912.4016.5529.890.7966.70
混合型010932国联安鑫元1个月持有混合C1.14522025-03-250.090.330.250.367.6410.4711.7715.9614.520.1314.52
混合型005588长安裕腾混合A1.14332025-03-250.09-0.030.550.400.970.682.715.0312.320.4914.33
混合型001803易方达瑞财混合E1.14302025-03-250.090.000.090.887.638.3411.9415.7628.620.7063.58
混合型001755嘉实新思路混合A1.14232025-03-250.090.27-0.040.262.229.848.8911.1133.50-0.0858.55
混合型021333信澳国企智选混合A1.14042025-03-250.09-1.261.540.9515.7514.0414.0414.0414.041.5914.04
混合型021820嘉实新思路混合C1.13922025-03-250.090.26-0.070.162.016.526.526.526.52-0.186.52
混合型021334信澳国企智选混合C1.13472025-03-250.09-1.281.480.8015.4013.4713.4713.4713.471.4413.47
混合型009634鹏华安睿两年持有期混合A1.13302025-03-250.09-0.25-0.050.494.406.917.237.9313.300.4113.30
混合型007581宝盈鸿利收益灵活配置混合C1.13302025-03-250.09-1.56-0.53-2.165.69-9.50-33.43-43.41-29.19-0.0915.04
混合型001428工银瑞信灵活配置混合B1.12802016-10-130.090.00-0.09-0.622.553.390.000.000.002.553.77
混合型005592长安裕腾混合C1.12002025-03-250.09-0.040.530.360.860.482.304.4011.220.4512.00
混合型019801华泰紫金价值甄选混合C1.11892025-03-250.09-1.035.876.3614.1011.6911.8911.8911.896.0511.89
混合型009366浦银安盛科技创新一年定开混合A1.11532025-03-250.09-1.112.864.1826.4141.4340.8029.9911.533.8711.53
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009635鹏华安睿两年持有期混合C1.10872025-03-250.09-0.25-0.070.434.286.556.346.4810.870.3510.87
混合型012945南方宝裕混合A1.10402025-03-250.090.040.690.253.825.297.5110.5010.400.1310.40
混合型090020大成健康产业混合A1.10202025-03-250.09-2.821.47-0.4512.45-9.67-22.50-38.881.100.8210.20
混合型009448泰康申润一年持有期混合A1.09852025-03-250.09-0.080.05-0.37-1.281.704.964.779.85-0.629.85
混合型013524富国悦享回报12个月持有期混合A1.08882025-03-250.09-0.120.671.906.766.867.429.988.881.478.88
混合型016060大成健康产业混合C1.08502025-03-250.09-2.781.40-0.5512.09-10.11-23.38-33.60-33.600.65-33.60
混合型011720易方达悦信一年持有混合A1.08002025-03-250.090.250.471.214.074.777.728.268.001.068.00
混合型013525富国悦享回报12个月持有期混合C1.07782025-03-250.09-0.120.641.826.596.536.788.997.781.407.78
混合型001902前海开源沪港深隆鑫混合C1.06702025-03-250.09-0.093.392.792.601.234.10-3.4251.642.8968.65
混合型010006南方誉鼎一年持有期混合A1.06382025-03-250.09-0.081.300.406.095.841.825.316.380.576.38
混合型011721易方达悦信一年持有混合C1.06342025-03-250.090.250.431.113.864.376.866.976.340.976.34
混合型005293诺德新旺1.06232025-03-250.09-2.093.06-3.368.27-3.45-19.29-26.009.47-1.976.23
混合型010636财通安盈混合A1.06102025-03-250.09-0.550.87-0.863.583.331.643.456.10-0.856.10
混合型019692信澳鑫悦智选6个月持有期混合A1.05812025-03-250.09-0.04-0.10-0.223.544.715.815.815.81-0.365.81
混合型014160易方达悦融一年持有混合A1.05792025-03-250.090.170.421.284.114.116.087.395.791.205.79
混合型013194华商稳健添利一年持有混合C1.05652025-03-250.09-0.470.090.955.532.135.846.105.651.155.65
混合型019693信澳鑫悦智选6个月持有期混合C1.05352025-03-250.09-0.05-0.14-0.323.364.365.355.355.35-0.445.35
混合型015125易方达悦鑫一年持有混合A1.05032025-03-250.090.090.341.213.733.524.865.035.031.105.03
混合型010637财通安盈混合C1.04692025-03-250.09-0.560.84-0.943.402.990.992.494.69-0.934.69
混合型014161易方达悦融一年持有混合C1.03722025-03-250.090.160.371.143.803.504.815.483.721.053.72
混合型010007南方誉鼎一年持有期混合C1.03632025-03-250.09-0.101.250.245.785.210.593.423.630.433.63
混合型013191国联景惠混合C1.03512025-03-250.090.140.11-0.172.644.175.316.883.51-0.343.51
混合型014621安信楚盈一年持有混合A1.03132025-03-250.09-0.11-0.041.184.836.363.364.263.131.093.13
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014622安信楚盈一年持有混合C1.00552025-03-250.09-0.12-0.100.984.405.511.711.780.550.900.55
混合型013354鹏华上华一年持有期混合C0.98852025-03-250.090.040.220.772.042.71-1.30-0.90-1.150.50-1.15
混合型168104九泰锐丰灵活配置混合(LOF)A0.95082025-03-250.09-2.305.251.4523.855.83-24.57-27.830.512.4922.65
混合型168111九泰锐丰灵活配置混合(LOF)C0.91202025-03-250.09-2.305.231.4023.745.21-27.52-30.79-23.132.45-19.87
混合型011695华泰紫金信息科技主题6个月持有混0.88842025-03-250.09-0.523.392.6611.0914.036.7015.17-11.162.08-11.16
混合型013554信澳远见价值混合A0.88222025-03-250.09-2.543.631.7617.9110.86-13.96-11.78-11.783.35-11.78
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
混合型012876富荣福耀混合A0.79592025-03-250.09-3.881.958.3630.8625.40-9.08-17.19-20.418.83-20.41
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213907宝盈增强收益债券A/B1.41532025-03-250.090.150.78-0.451.644.7111.2610.8227.85-0.69156.45
债券型213007宝盈增强收益债券A/B1.41532025-03-250.090.150.78-0.451.644.7111.2610.8227.85-0.69156.45
债券型007129天弘增强回报债券C1.38542025-03-250.09-0.070.570.275.726.274.225.9525.150.1138.54
债券型270009广发增强债券C1.32622025-03-250.09-0.25-0.310.352.933.946.248.5715.090.23117.69
债券型213917宝盈增强收益债券C1.30902025-03-250.090.140.74-0.551.474.3110.409.5325.36-0.79130.38
债券型019268交银安心收益债券E1.28372025-03-250.09-0.090.240.613.914.557.157.157.150.497.15
债券型001021华夏亚债中国指数A1.28232025-03-250.090.38-0.42-0.501.325.5811.6014.9720.66-0.8574.26
债券型000668国寿安保尊享债券A1.28192025-03-250.09-0.14-0.161.004.777.4311.4014.9321.250.6777.30
债券型000669国寿安保尊享债券C1.25852025-03-250.09-0.15-0.180.914.557.0010.5113.5718.850.5874.23
债券型009735天弘增强回报债券E1.25322025-03-250.09-0.070.580.305.766.374.426.2625.320.1325.32
债券型006466浦银安盛双债增强债券A1.23882025-03-250.09-0.36-0.251.114.535.034.956.9517.041.0823.88
债券型002966中海合嘉增强收益债券C1.23212025-03-250.09-0.76-0.541.785.132.455.720.3123.151.6229.45
债券型002742泓德裕祥债券A1.23162025-03-250.09-0.150.160.517.553.97-1.65-0.4716.460.4843.59
债券型855001海通海升六个月持有债券C1.22982025-03-250.090.02-0.160.492.302.875.848.3110.900.3810.90
债券型270044广发双债添利债券A1.22292025-03-250.090.38-0.16-0.310.603.769.8915.0719.12-0.6373.98
债券型009267广发双债添利债券E1.21932025-03-250.090.38-0.16-0.330.533.629.6114.6517.11-0.6517.11
债券型020995景顺长城景兴信用纯债债券F1.21632025-03-250.090.47-0.01-0.211.093.243.453.453.45-0.463.45
债券型519726交银稳固收益债券A1.21552025-03-250.090.121.041.769.968.794.2012.4317.560.8486.48
债券型006467浦银安盛双债增强债券C1.21372025-03-250.09-0.38-0.281.024.344.654.215.8215.010.9921.37
债券型519024海富通稳健添利债券A1.21142025-03-250.090.44-0.21-0.211.333.428.3410.9017.87-0.5873.08
债券型007879嘉实致安3个月定期债券1.20902025-03-250.090.130.260.141.984.8610.0211.5921.60-0.0224.65
债券型000253景顺长城景兴信用纯债债券C1.20632025-03-250.090.46-0.04-0.310.892.857.289.9613.08-0.5451.76
债券型009290富国添享一年持有期债券A1.20002025-03-250.090.130.120.523.895.118.2311.0220.000.3420.00
债券型002743泓德裕祥债券C1.19612025-03-250.09-0.160.130.417.363.59-2.35-1.5314.410.3939.35
债券型008302永赢易弘债券A1.19302025-03-250.09-0.07-0.160.322.964.378.4311.5719.290.0319.30
债券型007075富国产业债券C1.18992025-03-250.090.260.090.252.243.727.8210.8118.160.0224.75
债券型009291富国添享一年持有期债券C1.18272025-03-250.090.140.090.443.744.797.5910.0318.270.2818.27
债券型018581中银纯债债券D1.18142025-03-250.090.550.02-0.191.044.499.499.499.49-0.769.49
债券型021055永赢伟益债券C1.17962025-03-250.090.51-0.35-0.500.954.764.764.764.76-0.934.76
债券型022360永赢易弘债券B1.17722025-03-250.09-0.07-0.16-0.320.820.820.820.820.82-0.520.82
债券型008463招商添瑞1年定开债A1.17302025-03-250.090.24-0.010.041.173.207.7211.1417.30-0.2017.30
债券型380006中银纯债债券C1.17252025-03-250.090.550.01-0.240.944.2810.4813.2218.24-0.8063.90
债券型163806中银增利债券1.17252025-03-250.09-0.30-0.341.734.977.009.9514.4712.101.58115.35
债券型000037广发景宁债券A1.16842025-03-250.090.370.21-0.031.003.348.4112.300.00-0.1821.62
债券型012118兴全恒裕债券C1.16612025-03-250.090.490.240.091.373.007.6511.0814.74-0.1114.74
债券型006884汇添富AAA级信用纯债A1.16482025-03-250.090.50-0.020.110.943.157.9210.9417.90-0.4824.31
债券型006337华安安浦债券A1.16422025-03-250.090.280.220.311.353.508.2912.8919.20-0.0327.09
债券型006985兴全恒裕债券A1.16342025-03-250.090.480.250.131.453.167.9711.5817.19-0.0822.73
债券型021124华安安浦债券E1.16292025-03-250.090.280.220.291.273.043.043.043.04-0.063.04
债券型011617汇添富AAA级信用纯债E1.15642025-03-250.090.50-0.030.060.852.937.4410.4315.02-0.5215.02
债券型000298中海纯债债券A1.15102025-03-250.090.350.090.000.612.875.867.3710.84-0.0941.34
债券型016537上银慧鑫利债券1.15042025-03-250.090.51-0.59-0.920.6612.6617.4218.0218.02-1.2718.02
债券型006146前海开源鼎欣债券C1.14962025-03-250.090.24-0.02-0.090.743.317.159.7715.79-0.4178.32
债券型590009中邮稳定收益债券A1.14202025-03-250.09-0.09-0.090.442.794.399.6012.8020.510.3588.54
债券型001750景顺长城景瑞收益债券A1.13482025-03-250.090.350.01-0.031.303.617.1110.0115.62-0.1929.10
债券型011141南方景元中高等级信用债债券A1.13402025-03-250.090.52-0.13-0.580.392.927.5310.1513.40-0.9113.40
债券型004585鹏扬汇利债券A1.13362025-03-250.090.070.770.055.806.304.627.1815.440.0634.76
债券型008627南方0-5年江苏城投债C1.12992025-03-250.090.390.280.200.882.445.898.6414.080.1414.08
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010871中银信用增利债券(LOF)C1.12852025-03-250.09-0.19-0.481.383.305.319.089.7316.561.0516.56
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530017建信双息红利债券A1.12602025-03-250.09-1.660.004.7416.209.641.089.6710.375.04110.45
债券型006846中银福建国企债定开债A1.12592025-03-250.090.46-0.06-0.180.814.239.5512.5721.31-0.6126.91
债券型017555融通增享纯债债券C1.12552025-03-250.090.540.250.151.323.637.978.658.65-0.098.65
债券型960029建信双息红利债券H1.12502025-03-250.09-1.660.004.7516.109.540.999.5710.204.9444.98
债券型005964中欧安财定开债发起式1.12012025-03-250.090.00-0.250.793.005.279.6012.1919.280.5937.29
债券型002925广发集源债券A1.11762025-03-250.09-0.011.631.794.823.359.3112.4123.371.9442.70
债券型004571万家家瑞债券A1.11632025-03-250.09-0.34-0.34-0.212.741.69-1.07-0.096.860.1321.74
债券型610008信澳信用债债券A1.11602025-03-250.09-2.360.366.2925.6817.104.3511.3132.266.5977.09
债券型014671富国裕利债券A1.11602025-03-250.09-0.360.141.316.186.927.3711.3611.601.2811.60
债券型018187富国裕利债券E1.11552025-03-250.09-0.360.131.306.176.896.916.916.911.286.91
债券型014887招商安福1年定开债发起式1.11252025-03-250.09-0.260.650.837.377.898.3115.0112.380.6112.38
债券型015323广发集源债券E1.10982025-03-250.09-0.011.611.704.673.058.6511.3711.461.8711.46
债券型022089大成景轩中高等级债券F1.10942025-03-250.090.400.04-0.390.831.241.241.241.24-0.701.24
债券型610108信澳信用债债券C1.10802025-03-250.09-2.290.456.3325.6216.883.9410.7031.176.6470.83
债券型019526中邮纯债丰利债券E1.10562025-03-250.090.540.13-0.051.103.255.445.445.44-0.295.44
债券型010086中邮纯债丰利债券A1.10562025-03-250.090.540.13-0.051.103.258.0311.4417.90-0.2917.90
债券型686868浙商聚盈纯债债券A1.10432025-03-250.090.400.070.061.484.299.4312.2717.35-0.2764.94
债券型166016中欧纯债债券(LOF)C1.09992025-03-250.090.350.03-0.201.804.268.8711.0915.40-0.4080.53
债券型015893广发景益债券A1.09912025-03-250.090.40-0.06-0.140.944.459.259.919.91-0.439.91
债券型010087中邮纯债丰利债券C1.09902025-03-250.090.530.11-0.120.962.997.4910.9117.09-0.3417.09
债券型000105建信安心回报债券A1.09902025-03-250.090.090.180.090.642.145.788.3214.480.0057.80
债券型021850广发景益债券C1.09722025-03-250.090.40-0.07-0.180.801.511.511.511.51-0.481.51
债券型009496大成景轩中高等级债券C1.09672025-03-250.090.400.02-0.420.693.477.629.8214.55-0.7214.55
债券型531017建信双息红利债券C1.09402025-03-250.09-1.710.004.6916.019.180.468.578.524.8965.40
债券型015175申万菱信稳益宝债券C1.09102025-03-250.090.280.000.001.112.434.851.87-1.38-0.27-1.38
债券型009676国联融慧双欣一年定开债券C1.09052025-03-250.090.260.630.352.794.597.419.0713.290.0413.29
债券型008394方正富邦恒利纯债A1.08742025-03-250.090.39-0.12-0.230.853.798.1510.3015.01-0.5215.01
债券型007740天弘信益债券A1.08692025-03-250.090.380.230.431.634.888.5812.1615.73-0.0418.84
债券型002523光大保德信恒利纯债债券A1.08602025-03-250.090.430.00-0.101.133.386.649.4016.02-0.3831.94
债券型019038海富通添利收益一年持有期债券A1.08422025-03-250.090.070.060.564.536.758.428.428.420.268.42
债券型003612南方卓元债券A1.08312025-03-250.090.280.440.061.021.944.677.4219.960.1138.34
债券型020921博时富乐纯债债券C1.08262025-03-250.090.47-0.04-0.190.973.103.273.273.27-0.573.27
债券型007536博时富乐纯债债券A1.08092025-03-250.090.47-0.04-0.180.973.028.1011.5719.36-0.5522.40
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015427东吴月月享30天持有短债C1.07662025-03-250.090.360.030.210.792.436.347.667.660.107.66
债券型008722永赢欣益纯债一年定开发起式1.06992025-03-250.090.290.04-0.536.048.6113.4016.8523.94-0.6123.94
债券型002491银华添益定期开放债券A1.06992025-03-250.090.420.160.081.483.598.1611.2818.21-0.2536.71
债券型003167前海开源鼎瑞债券A1.06932025-03-250.090.350.11-0.472.343.117.196.889.79-0.5725.08
债券型003613南方卓元债券C1.06842025-03-250.090.270.40-0.050.811.533.826.1317.580.0233.80
债券型015376泰信汇鑫三个月定开债C1.06712025-03-250.090.53-0.32-0.070.221.316.316.716.71-0.376.71
债券型009578上银聚德益一年定开债券1.06592025-03-250.090.41-0.30-0.411.204.149.1412.1817.51-0.8417.51
债券型023646前海开源鼎瑞债券D1.06252025-03-250.090.350.130.130.130.130.130.130.130.130.13
债券型003168前海开源鼎瑞债券C1.06252025-03-250.090.350.10-0.492.303.026.535.807.80-0.5821.08
债券型015333天弘合利债券发起A1.06062025-03-250.090.420.080.071.434.368.438.558.55-0.208.55
债券型023391天弘合利债券发起E1.06012025-03-250.090.410.06-0.50-0.50-0.50-0.50-0.50-0.50-0.50-0.50
债券型017123景顺长城景泰臻利纯债债券A1.05992025-03-250.090.430.080.030.713.447.317.827.82-0.397.82
债券型021109国泰君安180天持有债券发起C1.05932025-03-250.090.50-0.720.283.425.935.935.935.93-0.405.93
债券型022133富国增利债券发起式E1.05822025-03-250.090.330.05-0.060.710.870.870.870.87-0.290.87
债券型015959太平嘉和三个月定开债发起1.05662025-03-250.090.080.450.284.714.516.115.665.660.225.66


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