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%
指数型014418西部利得CES芯片指数增强A0.85602025-03-260.08-4.26-8.372.8759.4353.6018.585.00-14.406.51-14.40
指数型012862汇添富中证电池主题ETF发起式联接0.52032025-03-260.08-2.71-3.722.0621.658.80-23.69-37.63-47.974.56-47.97
指数型010674兴全中证800六个月持有指数C1.09932025-03-260.08-3.171.113.0516.0819.9511.5721.569.934.119.93
指数型010673兴全中证800六个月持有指数A1.11762025-03-260.08-3.161.153.1516.3120.4312.4723.0411.764.2111.76
指数型008112中泰中证500指数增强A1.30472025-03-260.08-2.27-1.730.7617.4011.60-5.52-3.9226.743.2130.47
指数型004857广发中证全指建筑材料指数C0.90672025-03-260.08-2.153.270.5911.872.06-25.49-32.24-19.471.83-9.33
指数型004856广发中证全指建筑材料指数A0.91002025-03-260.08-2.153.290.6411.972.27-25.20-31.84-18.661.88-9.00
混合型008827建信易盛郑商所能源化工期货ETF联0.62002025-03-250.081.13-2.07-5.33-6.65-20.37-27.30-46.87-38.00-4.57-38.00
QDII型001061华夏收益债券(QDII)A1.46212025-03-240.080.250.822.172.638.7218.7030.9134.722.2780.67
QDII型001063华夏收益债券(QDII)C1.39462025-03-240.080.240.802.072.438.2817.7429.3332.022.1872.03
QDII型019231广发全球稳健配置混合(QDII)人民0.98272025-03-240.08-0.49-1.50-1.22-0.43-1.73-1.73-1.73-1.73-0.79-1.73
混合型001355广发聚泰混合A1.32382025-03-250.080.320.160.111.213.268.2811.9717.67-0.0773.33
混合型001356广发聚泰混合C1.30202025-03-250.080.320.130.011.012.857.4210.6515.94-0.1544.32
混合型673040西部利得行业主题优选混合A1.29962025-03-250.08-0.13-0.66-2.304.603.39-0.28-5.8440.88-1.8779.20
混合型005907招商丰茂灵活混合发起式C1.22702025-03-250.080.341.110.191.972.165.426.3613.100.0922.70
混合型002819招商丰美混合A1.21202025-03-250.08-0.901.76-1.783.325.210.176.4033.54-2.6566.66
混合型002820招商丰美混合C1.20802025-03-250.08-0.901.77-1.793.255.04-0.256.1132.64-2.7464.65
混合型002461中银珍利混合A1.20702025-03-250.080.17-0.17-0.331.262.642.642.9021.07-0.5859.64
混合型002462中银珍利混合C1.20602025-03-250.080.25-0.08-0.251.262.642.462.6420.49-0.5059.11
混合型001265国泰兴益灵活配置混合A1.20402025-03-250.080.000.671.096.935.340.92-0.1618.691.0148.03
混合型006845中信建投聚利混合C1.19882025-03-250.080.44-0.25-0.630.814.363.612.1615.76-0.9624.93
混合型002514招商丰益混合A1.18902025-03-250.08-0.831.71-0.423.93-2.38-8.40-4.3425.380.5161.28
混合型012701安信民安回报一年持有混合A1.18592025-03-250.08-0.391.260.706.319.4210.8414.7218.590.7218.59
混合型012702安信民安回报一年持有混合C1.18402025-03-250.08-0.391.270.716.179.2810.6714.5418.400.7218.40
混合型213001宝盈鸿利收益灵活配置混合A1.18302025-03-250.08-1.50-0.42-1.996.10-8.79-32.36-42.04-26.290.08544.08
混合型007884易方达恒盛3个月定开混合1.17862025-03-250.080.09-0.130.736.498.2914.0218.9936.620.3439.87
混合型014767景顺长城华城稳健6个月持有期混合1.17782025-03-250.08-0.073.712.284.179.7214.5420.4017.792.0417.79
混合型005865浦银安盛量化多策略混合A1.16702025-03-250.080.090.590.090.910.38-0.771.2721.780.1144.72
混合型014768景顺长城华城稳健6个月持有期混合1.16362025-03-250.08-0.083.682.184.009.3213.6819.0316.371.9416.37
混合型007749民生加银鹏程混合C1.15212025-03-250.080.340.34-0.126.983.41-2.83-4.857.45-0.2815.38
混合型010923永赢鑫欣混合A1.14612025-03-250.08-0.26-0.360.746.8410.5324.8715.6514.610.3914.61
混合型018603永赢鑫欣混合C1.13862025-03-250.08-0.27-0.390.646.6510.1222.6822.6822.680.3022.68
混合型011390华安添祥6个月持有混合A1.13372025-03-250.08-0.960.853.2311.1911.4613.1716.3815.023.7815.02
混合型012256安信丰穗一年持有混合A1.13252025-03-250.08-0.331.140.946.068.299.2214.0413.250.9413.25
混合型010408安信浩盈6个月持有混合A1.13132025-03-250.080.04-0.39-0.541.672.577.117.9013.13-0.7313.13
混合型015235国寿安保稳泽两年持有混合A1.12492025-03-250.08-0.86-0.81-0.718.179.9010.9312.4912.49-0.4912.49
混合型019065安信浩盈6个月持有混合C1.12302025-03-250.080.04-0.43-0.641.342.044.474.474.47-0.824.47
混合型016181华安添祥6个月持有混合C1.12192025-03-250.08-0.970.823.1310.9711.0212.2612.9412.943.6912.94
混合型010541国寿安保稳和6个月持有期混合A1.11352025-03-250.080.34-0.65-0.864.136.956.959.0111.35-1.2711.35
混合型673043西部利得行业主题优选混合C1.10982025-03-250.08-0.13-0.67-2.334.533.33-0.47-6.1140.21-1.9175.58
混合型519130海富通新内需混合A1.10772025-03-250.08-0.641.943.1011.57-1.27-18.34-18.93-8.683.3155.59
混合型014678永赢添添悦6个月持有混合A1.10432025-03-250.08-0.09-0.180.272.926.439.4910.4310.43-0.0110.43
混合型010058天弘荣创一年持有混合A1.09642025-03-250.080.31-0.030.161.934.473.70-0.459.64-0.329.64
混合型023417天弘荣创一年持有混合E1.09592025-03-250.080.30-0.06-0.76-0.76-0.76-0.76-0.76-0.76-0.76-0.76
混合型022361天弘荣创一年持有混合C1.09532025-03-250.080.31-0.050.121.901.901.901.901.90-0.361.90
混合型012991大成民享安盈一年持有混合A1.09212025-03-250.08-0.040.830.823.585.777.609.349.210.569.21
混合型010542国寿安保稳和6个月持有期混合C1.09192025-03-250.080.33-0.69-0.973.906.465.997.549.19-1.379.19
混合型009903易方达悦享一年持有混合C1.09122025-03-250.08-0.140.150.503.823.573.733.679.120.249.12
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012946南方宝裕混合C1.08372025-03-250.080.020.640.083.504.656.218.518.37-0.028.37
混合型001914中信建投聚利混合A1.08212025-03-250.080.44-0.25-0.620.824.373.722.6917.29-0.9518.19
混合型012992大成民享安盈一年持有混合C1.08162025-03-250.08-0.050.800.733.635.627.008.308.160.468.16
混合型017421天弘安康颐睿一年持有混合A1.08142025-03-250.08-0.080.791.205.457.158.098.148.141.058.14
混合型005866浦银安盛量化多策略混合C1.07672025-03-250.080.080.56-0.050.51-0.41-2.35-1.1416.81-0.0232.37
混合型017422天弘安康颐睿一年持有混合C1.07262025-03-250.08-0.080.771.105.256.747.237.267.260.967.26
混合型010560永赢稳健增利18个月持有混合A1.07062025-03-250.08-0.120.021.224.697.727.757.077.060.747.06
混合型013193华商稳健添利一年持有混合A1.07012025-03-250.08-0.470.111.045.742.536.697.387.011.237.01
混合型011767泰康合润混合A1.06862025-03-250.08-0.580.030.132.794.293.868.806.860.036.86
混合型009449泰康申润一年持有期混合C1.06852025-03-250.08-0.090.00-0.51-1.491.173.792.986.85-0.756.85
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011791招商瑞盈9个月持有期混合A1.06432025-03-250.080.050.871.286.546.304.994.186.431.116.43
混合型012822易方达悦丰一年持有期混合C1.06422025-03-250.080.240.421.213.924.145.346.196.421.066.42
混合型010839易方达瑞安灵活配置混合A1.06002025-03-250.080.150.44-0.3610.341.45-4.741.456.00-0.516.00
混合型011572鹏华安荣混合A1.05462025-03-250.080.120.280.2910.518.48-1.1211.639.220.139.22
混合型011573鹏华安荣混合C1.05192025-03-250.080.100.250.2010.678.48-1.4210.978.410.068.41
混合型010840易方达瑞安灵活配置混合C1.05122025-03-250.080.150.42-0.4110.221.24-5.130.845.12-0.555.12
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013595永赢稳健增利18个月持有混合E1.04802025-03-250.08-0.13-0.031.074.387.086.435.13-0.720.60-0.72
混合型011768泰康合润混合C1.04342025-03-250.08-0.59-0.03-0.032.473.682.626.854.34-0.114.34
混合型015126易方达悦鑫一年持有混合C1.03822025-03-250.080.090.311.113.533.104.023.823.821.003.82
混合型762001国金国鑫发起A1.03782025-03-250.08-0.111.41-0.229.7610.330.40-2.0218.950.00300.47
混合型020493富达悦享红利优选混合A1.00942025-03-250.08-0.883.752.994.000.940.940.940.942.810.94
混合型010850海富通富利三个月持有混合A1.00322025-03-250.080.020.70-0.314.266.083.342.270.32-0.440.32
混合型010401新华安康多元收益一年持有A0.98922025-03-250.08-0.77-0.690.030.841.32-0.04-4.46-1.080.36-1.08
混合型010851海富通富利三个月持有混合C0.98882025-03-250.080.010.67-0.404.065.702.551.08-1.12-0.53-1.12
混合型010402新华安康多元收益一年持有C0.97242025-03-250.08-0.79-0.72-0.070.640.91-0.84-5.60-2.760.27-2.76
混合型015305银华鑫峰混合A0.96642025-03-250.08-1.541.59-1.8817.277.65-6.63-3.36-3.36-0.80-3.36
混合型015306银华鑫峰混合C0.95512025-03-250.08-1.551.55-1.9817.027.22-7.39-4.49-4.49-0.89-4.49
混合型010439汇添富稳健汇盈一年持有期混合0.90242025-03-250.080.130.650.593.422.04-1.61-4.93-5.330.10-5.33
混合型003300华夏圆和混合A0.87582024-12-040.080.69-0.8834.229.90-11.41-27.61-24.78-12.09-10.893.75
混合型012877富荣福耀混合C0.78542025-03-250.08-3.891.918.2430.6024.90-9.83-18.20-21.468.72-21.46
债券型485114工银添颐债券A2.41402025-03-250.080.120.63-0.292.073.25-6.51-6.5413.33-0.45141.40
债券型000014华夏聚利债券A1.83142025-03-250.08-1.470.123.4220.4310.681.914.6537.493.6683.14
债券型100072富国强回报定开债A/B1.82032025-03-250.080.370.05-0.051.133.608.9813.2422.11-0.30105.18
债券型000160富国强回报定开债A/B1.82032025-03-250.080.370.05-0.051.133.608.9813.2422.11-0.30105.18
债券型100073富国强回报定开债C1.72582025-03-250.080.370.02-0.150.923.198.1311.9319.69-0.3993.31
债券型161115易方达岁丰添利债券(LOF)A1.69262025-03-250.080.120.080.352.554.207.9711.4333.640.14216.04
债券型002246泰康稳健增利债券C1.54992025-03-250.080.04-0.120.251.573.166.259.4616.840.0054.99
债券型007128天弘增强回报债券A1.41802025-03-250.08-0.070.600.375.936.705.057.2327.670.1941.80
债券型008974长城稳健增利债券C1.41522025-03-250.080.350.140.140.472.348.2810.7218.85-0.0619.72
债券型519782交银裕隆纯债债券A1.38982025-03-250.080.400.06-0.110.682.547.4410.7918.51-0.3442.20
债券型161014富国汇利回报两年定期开放债券1.36112025-03-250.08-0.31-0.300.684.894.666.649.8520.050.55124.55
债券型000736诺安聚利债券A1.36032025-03-250.080.340.120.111.353.618.4610.8516.06-0.1850.35
债券型000737诺安聚利债券C1.34932025-03-250.080.330.080.011.113.167.609.3913.62-0.2743.68
债券型007190南华价值启航纯债债券C1.34872025-03-250.080.61-0.20-0.260.952.294.53154.28170.12-0.38175.49
债券型164208天弘丰利债券(LOF)E1.34282025-03-250.08-0.57-0.70-0.213.425.474.477.9920.92-0.40138.05
债券型007189南华价值启航纯债债券A1.33702025-03-250.080.62-0.19-0.211.042.504.94155.92167.81-0.34173.32
债券型022155交银裕隆纯债债券D1.32132025-03-250.080.400.05-0.110.640.660.660.660.66-0.340.66
债券型000191富国信用债债券A/B1.31192025-03-250.080.300.09-0.031.013.117.6510.9218.79-0.2374.11
债券型000744北信瑞丰稳定收益A1.30902025-03-250.080.310.230.081.003.5610.0014.0217.61-0.0867.48
债券型016474交银稳固收益债券C1.30822025-03-250.080.111.001.669.448.033.050.770.770.740.77
债券型128012国投瑞银优化增强债券A/B1.30542025-03-250.08-0.110.25-0.113.443.855.7110.2125.09-0.22145.08
债券型121012国投瑞银优化增强债券A/B1.30542025-03-250.08-0.110.25-0.113.443.855.7110.2125.09-0.22145.08
债券型002362国富恒瑞债券C1.30102025-03-250.08-0.310.540.156.038.338.6211.9426.360.2354.72
债券型400009东方稳健回报债券A1.29802025-03-250.080.46-0.080.081.093.599.8313.2818.38-0.3167.60
债券型018965富国稳健增强债券E1.29702025-03-250.08-0.150.620.465.795.453.683.683.680.543.68
债券型000108富国稳健增强债券A/B1.29702025-03-250.08-0.150.540.395.705.454.368.5518.920.5490.59
债券型000107富国稳健增强债券A/B1.29702025-03-250.08-0.150.540.395.705.454.368.5518.920.5490.59
债券型006684富国信用债债券D1.29112025-03-250.080.300.09-0.031.003.117.6110.4617.42-0.2230.23
债券型128112国投瑞银优化增强债券C1.28932025-03-250.08-0.120.21-0.213.233.484.868.8622.56-0.32131.88
债券型000745北信瑞丰稳定收益C1.27402025-03-250.080.310.240.000.793.249.3612.7415.40-0.1661.87
债券型470010汇添富多元收益债券A1.27072025-03-250.080.14-0.060.633.975.615.286.6019.990.28122.75
债券型270029广发聚财信用债券A1.26902025-03-250.08-0.31-0.310.553.766.026.559.4011.820.4090.83
债券型470011汇添富多元收益债券C1.26062025-03-250.080.14-0.100.533.765.194.505.4217.600.18112.02
债券型000109富国稳健增强债券C1.25302025-03-250.08-0.160.560.325.565.033.497.2316.620.4881.45
债券型002474中邮睿信增强债1.24802025-03-250.08-1.19-0.641.7111.6311.6313.6619.1326.741.8854.75
债券型001862东方红收益增强债券A1.23512025-03-250.08-1.57-0.093.8225.3517.1314.2513.9624.923.9952.30
债券型005159华泰保兴尊合债券A1.23332025-03-250.080.070.070.314.216.6211.3813.7422.240.1248.12
债券型005383富国绿色纯债一年定开债券A1.23222025-03-250.080.330.09-0.021.123.647.3410.1316.59-0.2535.24
债券型000181景顺长城四季金利债券A1.23102025-03-250.080.16-0.080.653.976.0310.3114.1419.030.4170.66
债券型021452富国绿色纯债一年定开债券C1.22942025-03-250.080.320.06-0.110.961.811.811.811.81-0.321.81
债券型161506银河通利债券(LOF)C1.22702025-03-250.08-0.57-1.370.905.492.782.040.751.391.0783.93
债券型851900海通安悦债券A1.22492025-03-250.08-0.08-0.071.143.935.115.4710.2510.570.8810.57
债券型001023华夏亚债中国指数C1.22352025-03-250.080.37-0.46-0.601.105.1510.7113.5518.22-0.9565.23
债券型003796方正富邦睿利纯债C1.21862025-03-250.080.44-0.070.091.985.179.7612.8417.70-0.2838.18
债券型022208华安稳固收益债券E1.21702025-03-250.080.250.160.001.421.421.421.421.420.001.42
债券型002795平安惠盈纯债A1.21702025-03-250.08-0.08-0.49-0.330.332.507.5410.6717.95-0.4936.48
债券型851986海通安悦债券C1.21692025-03-250.08-0.09-0.091.083.814.895.049.599.850.849.85
债券型000182景顺长城四季金利债券C1.21102025-03-250.080.17-0.080.503.685.679.4512.7716.660.3363.21
债券型009403平安惠盈纯债C1.21002025-03-250.08-0.17-0.58-0.410.172.106.739.3814.14-0.5814.14
债券型270045广发双债添利债券C1.20842025-03-250.080.37-0.19-0.410.403.339.0013.6816.72-0.7267.35
债券型001863东方红收益增强债券C1.20662025-03-250.08-1.57-0.123.7125.1116.6613.3412.5922.433.8947.04
债券型018960永赢易弘债券C1.19122025-03-250.08-0.08-0.180.243.044.316.426.426.42-0.056.42
债券型000802中金纯债C1.19112025-03-250.080.350.05-0.150.652.466.269.5314.16-0.2539.31
债券型003949兴全稳泰债券A1.19022025-03-250.080.460.290.211.483.168.2311.5919.850.0139.92
债券型023615银华远景债券D1.18902025-03-250.08-0.250.340.340.340.340.340.340.340.340.34
债券型002501银华远景债券A1.18802025-03-250.08-0.250.511.896.558.104.496.4717.311.9740.07
债券型005723国联聚安定期开放债券1.18472025-03-250.080.320.14-0.091.173.537.7310.8317.08-0.3631.80
债券型007985博时富悦纯债A1.18352025-03-250.080.420.160.251.583.728.6711.6320.20-0.1922.12
债券型380005中银纯债债券A1.18202025-03-250.080.540.02-0.191.034.4810.9314.0619.80-0.7670.56
债券型002797景顺长城景盈双利债券C1.18112025-03-250.08-0.39-0.031.645.756.605.9110.8313.851.7532.88
债券型019775长城稳健增利债券D1.18092025-03-250.080.370.160.220.652.686.596.596.590.006.59
债券型004402金信民旺债券C1.18052025-03-250.08-0.080.112.0912.649.232.152.9915.351.8318.05
债券型006331中银国有企业债C1.17972025-03-250.08-0.33-0.431.504.646.9210.4613.1820.821.2533.22
债券型023080长信利保债券E1.17852025-03-250.08-0.05-0.04-0.08-0.08-0.08-0.08-0.08-0.08-0.08-0.08
债券型008173兴全稳泰债券C1.17782025-03-250.080.450.270.151.382.967.8010.9318.66-0.0421.51
债券型200009长城稳健增利债券A1.17732025-03-250.080.370.170.220.632.678.9611.7519.680.01102.81
债券型519947长信利保债券A1.17472025-03-250.08-0.04-0.03-0.485.997.7210.9514.9817.19-0.5717.47
债券型008176长信利保债券C1.17432025-03-250.08-0.05-0.04-0.515.977.6910.9114.9017.09-0.5919.06
债券型017910博时富悦纯债C1.16532025-03-250.080.430.150.231.503.487.407.677.67-0.217.67


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