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019882招商招祥纯债E1.16432025-03-250.080.330.080.111.383.795.955.955.95-0.205.95
债券型013449广发景宁债券C1.16422025-03-250.080.360.21-0.060.943.228.1711.9214.08-0.2114.08
债券型003863招商招祥纯债A1.16402025-03-250.080.330.080.091.353.769.0612.9720.72-0.2038.10
债券型003223广发景丰纯债A1.16162025-03-250.080.410.02-0.011.043.889.9112.7520.30-0.3936.83
债券型003605景顺长城景泰汇利定开债A1.16022025-03-250.080.410.04-0.181.113.217.5810.9718.39-0.4240.88
债券型008554景顺长城景泰汇利定开债C1.15402025-03-250.080.400.03-0.211.073.127.3810.6617.82-0.4420.88
债券型008668西部利得双盈一年定开债券1.14892025-03-250.080.37-0.16-0.290.493.168.1511.8919.14-0.4719.14
债券型007441南方旭元债券C1.14592025-03-250.080.41-0.35-0.870.533.847.769.2113.06-1.2217.44
债券型970022信达丰睿六个月持有1.14382025-03-250.080.180.15-0.120.721.856.8910.7316.02-0.1816.02
债券型005467华泰紫金智盈债券A1.14252025-03-250.080.290.13-0.100.862.736.799.3716.43-0.3134.89
债券型006850永赢颐利债券1.14122025-03-250.080.37-0.01-0.170.953.368.5311.8318.75-0.3826.09
债券型023072招商招悦纯债D1.14112025-03-250.080.35-0.01-0.13-0.13-0.13-0.13-0.13-0.13-0.37-0.13
债券型003156招商招悦纯债A1.14082025-03-250.080.350.000.041.884.4810.0914.0923.87-0.3647.49
债券型163819中银信用增利债券(LOF)A1.14062025-03-250.08-0.20-0.451.473.475.669.8210.8817.971.13106.41
债券型006885汇添富AAA级信用纯债C1.13572025-03-250.080.49-0.040.020.752.757.079.6315.59-0.5721.34
债券型007546融通增享纯债债券A1.13262025-03-250.080.530.260.191.403.828.2711.0916.65-0.0519.08
债券型002569博时裕弘纯债债券A1.12982025-03-250.080.38-0.30-0.321.635.1514.8117.5824.28-0.7238.73
债券型022767博时裕弘纯债债券D1.12912025-03-250.080.38-0.33-0.370.760.760.760.760.76-0.750.76
债券型019623博时裕弘纯债债券C1.12872025-03-250.080.39-0.31-0.341.534.9810.2910.2910.29-0.7410.29
债券型018701中银惠利半年定期开放债券B1.12792025-03-250.080.420.100.091.083.806.216.216.21-0.336.21
债券型009871景顺长城景瑞收益债券C1.12782025-03-250.080.350.00-0.061.243.516.899.6714.72-0.2214.72
债券型970134海通安润90天滚动持有中短债A1.12642025-03-250.080.040.040.411.793.307.2110.8310.740.2910.74
债券型015301博时双季乐六个月持有期债券A1.12602025-03-250.080.45-0.13-0.071.403.439.3112.6012.60-0.4312.60
债券型007440南方旭元债券A1.12262025-03-250.080.42-0.31-0.760.783.457.449.9817.77-1.1322.33
债券型020742交银裕坤纯债一年定期开放债券C1.11972025-03-250.080.390.190.111.072.762.712.712.71-0.142.71
债券型970135海通安润90天滚动持有中短债C1.11602025-03-250.080.030.020.331.642.996.579.849.710.229.71
债券型004586鹏扬汇利债券C1.11552025-03-250.080.060.74-0.045.585.883.795.9013.16-0.0330.64
债券型161614融通四季添利债券(LOF)A1.11482025-03-250.080.310.20-0.100.231.945.5216.5922.30-0.1995.74
债券型011024东兴兴利债券D1.11402025-03-250.080.54-0.040.141.252.075.398.6015.33-0.1315.33
债券型020080华富恒稳纯债债券D1.11362025-03-250.080.380.060.081.043.305.365.365.36-0.225.36
债券型008626南方0-5年江苏城投债A1.11212025-03-250.080.390.290.230.932.546.108.9814.430.1514.52
债券型000673融通四季添利债券(LOF)C1.11112025-03-250.080.300.17-0.170.061.614.8715.6019.03-0.2619.03
债券型217023招商信用增强债券A1.11102025-03-250.08-0.200.361.305.116.669.7812.9020.671.2387.23
债券型000197富国目标收益一年期纯债债券1.10502025-03-250.080.28-0.23-0.380.653.818.3111.1818.31-0.5269.91
债券型006847中银福建国企债定开债C1.10412025-03-250.080.45-0.09-0.260.643.868.7611.3819.18-0.6924.36
债券型014672富国裕利债券C1.10302025-03-250.08-0.370.111.206.046.566.5810.0910.301.1810.30
债券型002926广发集源债券C1.10162025-03-250.08-0.021.601.664.602.918.4211.0320.881.8338.98
债券型020414中信保诚优质纯债债券I1.10102025-03-250.080.09-0.100.47-0.111.532.632.632.630.232.63
债券型007394东兴兴财短债债券A1.09892025-03-250.080.45-0.43-0.640.462.124.456.328.58-0.889.89
债券型686869浙商聚盈纯债债券C1.09882025-03-250.080.390.050.021.424.129.0211.6316.22-0.3259.51
债券型006163融通增辉定开债券发起式1.09792025-03-250.080.510.25-0.011.183.918.359.8820.36-0.1934.85
债券型017463中信保诚优质纯债债券C1.09782025-03-250.080.08-0.110.49-0.111.474.665.775.770.245.77
债券型015402长江丰瑞3个月持有期债券A1.09562025-03-250.080.160.020.051.643.477.889.569.56-0.129.56
债券型013411嘉实方舟6个月滚动持有债券发起A1.09552025-03-250.080.260.410.291.852.964.528.079.550.009.55
债券型020367嘉实方舟6个月滚动持有债券发起E1.09532025-03-250.080.260.410.291.852.953.623.623.620.003.62
债券型007741天弘信益债券C1.08962025-03-250.080.360.200.351.354.437.8210.8413.74-0.1116.57
债券型015403长江丰瑞3个月持有期债券C1.08932025-03-250.080.160.000.001.553.277.468.938.93-0.168.93
债券型008785中加博裕纯债债券1.08772025-03-250.080.330.250.181.212.947.1510.5416.57-0.0916.57
债券型015477国联融盛双盈债券A1.08622025-03-250.08-0.050.170.803.907.139.068.628.620.668.62
债券型013412嘉实方舟6个月滚动持有债券发起C1.08592025-03-250.080.250.390.231.722.713.997.268.59-0.068.59
债券型021433融通债券D1.08522025-03-250.080.320.340.280.782.832.832.832.830.132.83
债券型001988南方纯元A1.08392025-03-250.080.43-0.30-0.361.293.537.329.5715.06-0.8532.88
债券型018763汇添富稳荣回报债券发起式A1.08352025-03-250.080.070.27-0.073.876.188.358.358.35-0.288.35
债券型161693融通债券C1.08282025-03-250.080.310.310.190.593.136.6412.9917.610.0585.36
债券型007395东兴兴财短债债券C1.08172025-03-250.080.45-0.45-0.710.311.813.845.386.91-0.958.17
债券型040040华安纯债债券A1.08132025-03-250.080.31-0.070.191.223.487.8010.9117.460.0263.26
债券型022128华安纯债债券E1.08052025-03-250.080.31-0.070.171.151.381.381.381.380.001.38
债券型008395方正富邦恒利纯债C1.08002025-03-250.080.39-0.13-0.280.663.507.599.4913.80-0.5613.80
债券型550019中信保诚优质纯债债券B1.07942025-03-250.080.08-0.130.37-0.301.144.036.9613.500.1475.35
债券型970204兴证资管金麒麟兴享增利六个月持1.07872025-03-250.08-0.030.290.361.822.573.944.464.460.334.46
债券型019039海富通添利收益一年持有期债券C1.07822025-03-250.080.060.020.464.336.337.827.827.820.177.82
债券型015478国联融盛双盈债券C1.07772025-03-250.08-0.050.140.713.956.978.447.777.770.577.77
债券型018764汇添富稳荣回报债券发起式C1.07762025-03-250.080.070.23-0.173.685.767.767.767.76-0.367.76
债券型016850中欧颐利债券A1.07652025-03-250.080.020.811.244.106.217.487.657.650.927.65
债券型022241国联恒安纯债B1.07502025-03-250.080.520.051.113.993.993.993.993.990.293.99
债券型008796国联恒安纯债A1.07422025-03-250.080.520.051.123.916.639.0811.9115.290.2915.29
债券型015563天弘丰利债券(LOF)C1.07362025-03-250.08-0.56-0.69-0.213.425.444.537.367.36-0.417.36
债券型013077永赢乾益债券1.07362025-03-250.080.350.05-0.270.993.597.8011.0212.94-0.5312.94
债券型022557天弘丰利债券(LOF)F1.07242025-03-250.08-0.57-0.72-0.301.601.601.601.601.60-0.481.60
债券型003811中金金利A1.07162025-03-250.08-0.15-0.400.221.321.524.877.3012.54-0.0728.27
债券型008797国联恒安纯债C1.06952025-03-250.080.520.021.033.706.228.3510.9113.720.2213.72
债券型022218华宝宝裕债券D1.06672025-03-250.080.160.050.110.770.910.910.910.910.150.91
债券型006826华宝宝裕债券A1.06672025-03-250.080.140.040.110.772.104.586.9412.260.1516.63
债券型016851中欧颐利债券C1.06662025-03-250.080.020.791.153.905.796.636.666.660.836.66
债券型017149天弘稳健回报债券发起A1.06652025-03-250.080.010.250.363.254.466.796.656.650.236.65
债券型001919圆信永丰兴利C1.06592025-03-250.080.28-0.54-0.620.312.845.918.247.40-0.9326.09
债券型017150天弘稳健回报债券发起C1.06432025-03-250.080.010.240.343.224.366.596.436.430.216.43
债券型018252上银聚合益一年定开债券发起式1.06422025-03-250.080.37-0.50-0.551.545.7110.2610.2610.26-1.0610.26
债券型019491大成景熙利率债A1.06332025-03-250.080.35-0.52-0.801.234.756.856.856.85-1.266.85
债券型001989南方纯元C1.06332025-03-250.080.42-0.34-0.471.053.036.368.1312.76-0.9528.08
债券型017710富国增利债券发起式A1.06292025-03-250.080.330.05-0.061.083.877.897.897.89-0.297.89
债券型015992长城鑫利30天滚动持有中短债C1.06292025-03-250.080.390.220.111.262.655.986.286.28-0.016.28
债券型004655汇添富鑫汇债券A1.06252025-03-250.080.37-0.32-0.501.454.248.4511.0716.58-0.8232.00
债券型019492大成景熙利率债C1.06242025-03-250.080.35-0.52-0.831.294.756.766.766.76-1.276.76
债券型013378方正富邦稳裕纯债A1.06232025-03-250.080.340.170.031.143.898.4611.9513.96-0.1913.96
债券型007564鹏扬淳明债券A1.06172025-03-250.080.310.120.111.514.009.7910.8718.34-0.0919.85
债券型003742汇安嘉汇纯债债券A1.06172025-03-250.080.380.01-0.170.843.2512.0717.4622.52-0.2944.52
债券型005369富国臻利纯债定开债券1.06122025-03-250.080.350.15-0.081.013.177.9311.3418.16-0.3333.69
债券型021108国泰君安180天持有债券发起A1.06112025-03-250.080.51-0.710.343.526.116.116.116.11-0.366.11
债券型017017农银瑞泽添利债券A1.06112025-03-250.08-0.130.600.613.353.805.136.116.110.606.11
债券型021596天弘稳健回报债券发起E1.06102025-03-250.080.000.210.253.011.921.921.921.920.111.92
债券型020122圆信永丰兴利E1.06072025-03-250.080.27-0.54-0.490.461.792.262.262.26-0.952.26
债券型017053南方ESG纯债债券发起A1.06072025-03-250.080.250.02-0.071.053.606.076.076.07-0.256.07
债券型001918圆信永丰兴利A1.06072025-03-250.080.27-0.54-0.490.463.066.258.698.45-0.9526.52
债券型009771汇安嘉汇纯债债券C1.06042025-03-250.080.380.00-0.220.743.0411.6316.7419.97-0.3319.97
债券型022134富国增利债券发起式F1.06032025-03-250.080.330.03-0.110.881.071.071.071.07-0.341.07
债券型014968中信建投景润3个月定开债A1.06032025-03-250.080.340.12-0.140.492.485.386.036.03-0.406.03
债券型018615光大保德信睿阳纯债债券A1.05992025-03-250.080.400.060.241.453.625.995.995.99-0.035.99
债券型023139南方ESG纯债债券发起C1.05912025-03-250.080.270.00-0.66-0.66-0.66-0.66-0.66-0.66-0.66-0.66
债券型017711富国增利债券发起式C1.05902025-03-250.080.320.03-0.110.973.667.507.507.50-0.347.50
债券型018170嘉实双季瑞享6个月持有债券A1.05892025-03-250.080.40-0.18-0.260.683.315.895.895.89-0.615.89
债券型013646景顺长城景泰鼎利一年定开纯债C1.05892025-03-250.080.370.03-0.361.093.296.919.6510.47-0.5910.47
债券型013645景顺长城景泰鼎利一年定开纯债A1.05892025-03-250.080.33-0.02-0.421.043.236.789.5910.48-0.6510.48
债券型013717国联恒利纯债C1.05822025-03-250.080.43-0.020.060.723.497.4110.5910.83-0.4010.83
债券型002661兴业天禧债券1.05722025-03-250.080.320.13-0.060.973.237.3110.4817.37-0.2932.69
债券型012742工银瑞富一年定开纯债发起式1.05682025-03-250.080.290.090.071.772.984.665.605.68-0.315.68
债券型021352博时富华纯债债券C1.05622025-03-250.080.28-0.08-0.512.204.804.804.804.80-0.724.80
债券型008125创金合信中债1-3年国开债A1.05572025-03-250.080.320.00-0.580.793.146.298.7415.01-0.6417.50
债券型018171嘉实双季瑞享6个月持有债券C1.05502025-03-250.080.39-0.20-0.340.553.025.505.505.50-0.685.50
债券型018206永赢浩益一年定开债券发起1.05452025-03-250.080.340.13-0.270.702.875.455.455.45-0.415.45
债券型015470华安添锦债券1.05442025-03-250.080.280.250.111.293.315.927.307.30-0.067.30
债券型023346博时裕新纯债债券C1.05392025-03-250.080.310.801.021.021.021.021.021.021.021.02
债券型018260国联融誉双华6个月持有债券A1.05392025-03-250.080.020.130.242.434.365.395.395.390.095.39
债券型008352交银裕坤纯债一年定期开放债券A1.05352025-03-250.080.350.050.081.363.267.4810.7517.62-0.1917.91
债券型015108中泰安益利率债A1.05292025-03-250.080.43-0.28-0.412.225.789.7811.2211.22-0.9211.22
债券型016419国泰安璟债券A1.05272025-03-250.080.100.980.703.926.075.125.275.270.685.27
债券型004728中欧瑾泰债券A1.05242025-03-250.080.47-0.50-0.921.414.989.4712.7717.73-1.3032.99
债券型008126创金合信中债1-3年国开债C1.05192025-03-250.080.330.00-0.600.753.096.138.4614.56-0.6517.00
债券型019770中欧瑾泰债券E1.05142025-03-250.080.48-0.48-0.911.414.927.427.427.42-1.297.42
债券型017018农银瑞泽添利债券C1.05142025-03-250.08-0.150.550.503.133.374.285.145.140.505.14
债券型007878惠升和风纯债C1.05142025-03-250.080.47-0.30-0.710.272.837.899.1416.89-0.9421.30
债券型014644浦银安盛盛瑞纯债债券C1.05092025-03-250.080.280.03-0.260.942.966.599.579.64-0.499.64
债券型003812中金金利C1.05082025-03-250.08-0.15-0.430.121.131.134.056.0210.30-0.1525.89
债券型022799博时富华纯债债券D1.05062025-03-250.080.29-0.08-0.61-0.05-0.05-0.05-0.05-0.05-0.82-0.05
债券型007877惠升和风纯债A1.05032025-03-250.080.47-0.30-0.710.272.848.029.4614.75-0.9418.10
债券型015109中泰安益利率债C1.04992025-03-250.080.42-0.30-0.462.055.489.2510.4710.47-0.9710.47
债券型018261国联融誉双华6个月持有债券C1.04922025-03-250.080.010.100.162.314.084.924.924.920.024.92
债券型003999富荣富祥纯债A1.04882025-03-250.080.47-0.41-0.290.543.638.1211.1017.98-0.8040.86
债券型006068中加颐信纯债债券A1.04852025-03-250.080.33-0.22-0.630.563.127.179.7014.97-0.9525.50
债券型017163蜂巢添益纯债E1.04802025-03-250.080.250.00-0.110.762.426.746.146.14-0.226.14
债券型005690中银安享债券A1.04762025-03-250.080.40-0.10-0.160.784.118.9311.3416.72-0.6024.30
债券型009577上银聚永益一年定开债券1.04622025-03-250.080.41-0.77-0.951.663.839.0913.1319.76-1.4519.76
债券型010630惠升和睿兴利债券A1.04592025-03-250.08-0.220.370.364.028.196.546.434.590.284.59
债券型018668中信建投景润3个月定开债券D1.04482025-03-250.080.350.12-0.130.492.504.484.484.48-0.404.48
债券型008684宝盈盈旭纯债债券A1.04472025-03-250.080.380.00-0.170.793.058.447.5710.53-0.4010.53
债券型006206融通增悦债券1.04452025-03-250.080.24-0.06-0.231.384.219.1811.5217.44-0.5026.69
债券型005158长江乐盈定开债发起式1.04382025-03-250.080.49-0.18-0.510.662.988.1310.6116.51-0.9430.90
债券型021119中银月月鑫30天滚动持有债券A1.04232025-03-250.080.460.280.291.854.234.234.234.23-0.124.23
债券型006066中加颐睿纯债债券A1.04212025-03-250.080.310.210.261.002.957.6911.2617.86-0.0428.88
债券型005625南华瑞鑫定期开放债券1.04102025-03-250.080.48-0.09-0.111.244.059.0011.3016.02-0.4727.61
债券型020135华富吉禄90天滚动持有债券A1.04052025-03-250.080.270.160.301.373.274.454.454.450.164.45
债券型009517人保福欣3个月定开债A1.04022025-03-250.080.43-0.30-1.040.232.095.497.928.32-1.088.32
债券型015523华商鸿盛纯债债券1.04002025-03-250.080.43-0.34-0.500.473.127.289.359.35-0.719.35
债券型005019国投瑞银和泰6个月债券1.04002025-03-250.080.36-0.21-0.470.893.327.139.9215.05-0.7331.85
债券型015818财通资管睿盈债券A1.03922025-03-250.080.46-0.23-0.560.873.606.827.617.61-0.927.61
债券型020051英大安华纯债债券C1.03802025-03-250.080.36-0.34-0.540.863.375.135.135.13-0.855.13
债券型009518人保福欣3个月定开债C1.03682025-03-250.080.44-0.31-1.060.181.995.287.617.97-1.117.97
债券型006180中加颐合纯债债券A1.03662025-03-250.080.47-0.04-0.030.492.535.899.1514.04-0.3222.89
债券型008685宝盈盈旭纯债债券C1.03652025-03-250.080.38-0.02-0.270.592.647.576.518.70-0.498.70
债券型970205兴证资管金麒麟兴享增利六个月持1.03642025-03-250.08-0.040.250.251.612.153.093.643.640.243.64


1、默认按“日涨幅%”排序提供信息查看,如需定制查看方式请联系站上客服咨询。
2、按"最新净值"排序,可以查看基金的净值大小进行分析,查看最新净值排序。
3、按"近1周%"排序,可以查看基金最近一周的涨幅情况,查看近1周%排序。
4、按"近1月%"排序,可以查看基金最近一月的涨幅情况,查看近1月%排序。
5、按"近3月%"排序,可以查看基金最近三月的涨幅情况,查看近3月%排序。
6、按"近6月%"排序,可以查看基金最近六月的涨幅情况,查看近6月%排序。
7、按"近1年%"排序,可以查看基金最近一年的涨幅情况,查看近1年%排序。


图看指数科创50 深证综指 上证指数 中证2000 B股指数 深证100 沪深300 基金指数 上证380 上证综合全收益 上证180 成份B指 深证成指 上证100 中证全指
友情链接搜尋引擎api  美心學苑  검색 엔진 소스 코드  网站搜索  全球搜索引擎  站搜  한국 검색 엔진 포털  Search engine ranking  取名  検索エンジンのソースコード 
财经名站银泰证券  平安证券  证券市场周刊  国家统计局  中国经济网  深圳证券交易所  21经济网  财经网  郑州商品交易所  臺灣碳權交易所