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007577宝盈祥瑞混合C1.12342025-03-250.04-0.040.260.201.901.851.872.502.030.171.30
混合型010211景顺长城顺鑫回报混合A1.12212025-03-250.040.150.080.114.054.646.088.9917.490.0417.49
混合型009135广发恒隆一年持有混合A1.11412025-03-250.04-0.200.551.095.643.21-0.652.0511.401.2211.40
混合型010870汇添富稳健鑫添益六个月持有混合A1.11292025-03-250.04-0.63-0.221.424.536.986.3910.8111.291.2711.29
混合型010212景顺长城顺鑫回报混合C1.11292025-03-250.040.150.060.063.954.445.678.3716.55-0.0116.55
混合型002640中信建投睿溢混合A1.10632025-03-250.040.24-0.190.081.283.416.74-6.90-0.02-0.1210.63
混合型009266鹏扬景合六个月持有混合1.10172025-03-250.04-0.070.40-0.064.014.535.648.6417.670.0117.67
混合型013517易方达悦浦一年持有混合A1.08752025-03-250.040.020.26-0.042.714.917.249.048.75-0.198.75
混合型016826安信稳健启航一年持有混合A1.08322025-03-250.04-0.250.491.635.956.007.598.328.321.468.32
混合型016827安信稳健启航一年持有混合C1.07582025-03-250.04-0.240.471.575.785.686.937.587.581.407.58
混合型013518易方达悦浦一年持有混合C1.07262025-03-250.040.010.22-0.132.504.486.377.737.26-0.297.26
混合型010712中欧瑾利混合A1.06682025-03-250.04-0.040.380.076.123.553.067.3311.03-0.2011.03
混合型010748宝盈祥和9个月定开混合C1.06492025-03-250.04-0.190.551.897.406.636.206.496.491.656.49
混合型010818国联安鑫稳3个月持有混合C1.05272025-03-250.040.040.28-0.294.085.705.044.995.27-0.385.27
混合型019752海富通悦享一年持有期混合A1.04542025-03-250.04-0.110.360.784.095.236.586.586.580.656.58
混合型011408天弘益新混合A1.04212025-03-250.040.100.190.210.892.561.712.364.210.094.21
混合型018465嘉实稳健添翼一年持有混合A1.03962025-03-250.040.02-1.320.914.425.513.963.963.960.543.96
混合型018466嘉实稳健添翼一年持有混合C1.03462025-03-250.040.01-1.340.814.115.103.463.463.460.453.46
混合型016637博道和瑞多元稳健6个月持有混合A1.03192025-03-250.04-0.060.790.855.763.802.293.193.190.613.19
混合型012161安信招信一年持有混合A1.02072025-03-250.040.03-0.03-0.181.963.154.757.342.07-0.312.07
混合型010835国泰同益18个月持有期混合C1.00972025-03-250.040.160.120.231.374.172.061.140.970.130.97
混合型021795广发稳信六个月持有期混合A1.00222025-03-250.04-0.180.310.210.220.220.220.220.220.280.22
混合型015258鹏华稳享一年持有期混合A1.00172025-03-250.04-0.031.180.240.592.211.780.170.170.310.17
混合型013714方正富邦泰利12个月持有混合A0.97742025-03-250.040.011.560.697.479.19-2.040.05-2.260.86-2.26
混合型012533嘉实价值驱动一年持有期混合A0.97302025-03-250.040.005.593.6213.1314.192.2112.36-2.703.91-2.70
混合型012534嘉实价值驱动一年持有期混合C0.95192025-03-250.04-0.015.543.4712.8013.520.9910.35-4.813.77-4.81
混合型021364渤海汇金新动能主题混合C0.92482025-03-250.04-4.70-0.959.034.124.124.124.124.1210.374.12
混合型018441汇添富量化选股混合C0.89162025-03-250.04-1.301.38-0.4411.701.38-10.84-10.84-10.840.38-10.84
混合型014827汇泉启元未来混合发起式A0.89052025-03-250.04-3.142.069.005.456.85-10.95-10.95-10.959.16-10.95
混合型010195博时睿祥15个月定开混合C0.69842024-11-250.041.22-3.2010.615.482.18-15.66-37.18-30.165.26-30.16
债券型320021诺安双利债券发起2.56002025-03-250.040.16-0.47-1.16-0.16-0.97-3.72-3.0720.93-1.39156.00
债券型485014工银添颐债券B2.24502025-03-250.040.090.58-0.401.912.93-7.08-7.5011.30-0.53124.50
债券型001868招商产业债券C1.72822025-03-250.040.160.140.080.912.576.7410.0119.10-0.0350.67
债券型008222兴业机遇债券C1.53842025-03-250.04-0.75-0.982.7715.1412.278.3611.8435.202.6753.07
债券型016376易米和丰债券A1.42732025-03-250.040.21-0.45-1.030.343.132.1542.7342.73-1.1942.73
债券型750002安信目标收益债券A1.42542025-03-250.04-0.050.180.818.278.3512.4115.2330.290.80104.74
债券型016377易米和丰债券C1.40282025-03-250.040.20-0.48-1.120.142.721.3640.2840.28-1.2840.28
债券型519684交银双利债券A/B1.39512025-03-250.040.060.080.130.872.813.145.018.990.0084.90
债券型519683交银双利债券A/B1.39512025-03-250.040.060.080.130.872.813.145.018.990.0084.90
债券型110008易方达稳健收益债券B1.39232025-03-250.04-0.070.120.756.917.528.2011.3924.650.43255.63
债券型008883国联安增祺纯债C1.39072025-03-250.040.210.19-0.040.9536.3043.0546.0650.42-0.1450.42
债券型008008易方达稳健收益债券C1.38512025-03-250.04-0.070.100.696.777.237.6010.4722.930.3728.45
债券型110007易方达稳健收益债券A1.38412025-03-250.04-0.080.090.686.757.197.5510.3922.800.36238.69
债券型750003安信目标收益债券C1.38252025-03-250.04-0.050.150.728.077.9211.4913.8827.650.7194.29
债券型002985中银季季红定开债1.36332025-03-250.040.11-0.37-0.031.123.556.959.6335.44-0.2959.64
债券型000129大成景安短融债券B1.34882025-03-250.040.220.250.291.112.516.058.2013.700.2359.24
债券型007762富国天盈债券(LOF)A1.30852025-03-250.04-0.010.110.312.963.855.998.9719.180.2625.87
债券型003337南方颐元定开债券发起1.29992025-03-250.040.220.13-0.380.853.488.5719.9137.07-0.5856.32
债券型000944工银中高等级信用债债券B1.29512025-03-250.040.210.08-0.390.562.446.378.7314.11-0.6029.51
债券型371020摩根纯债债券A1.29352025-03-250.040.21-0.08-0.280.964.025.897.2314.42-0.5077.27
债券型004156中信保诚至泰中短债C1.29342025-03-250.040.180.100.060.873.277.639.3412.56-0.0729.34
债券型022294摩根纯债债券D1.29332025-03-250.040.21-0.08-0.291.181.181.181.181.18-0.501.18
债券型161015富国天盈债券(LOF)C1.28332025-03-250.04-0.010.090.232.793.495.257.8417.120.18117.97
债券型007829创金合信信用红利债券C1.28162025-03-250.040.200.190.200.722.967.3810.8221.260.0228.16
债券型004807中银证券安弘债券A1.27502025-03-250.04-0.13-0.86-0.067.697.283.882.0211.86-0.2527.50
债券型002704德邦锐兴债券A1.26452025-03-250.040.240.040.461.343.669.2210.4619.560.1033.83
债券型016348德邦锐兴债券E1.26182025-03-250.040.240.030.421.253.569.037.967.960.067.96
债券型007377西部利得聚享一年定开债券A1.25642025-03-250.040.260.260.060.963.017.4910.5718.83-0.0625.64
债券型008857华夏鼎航债券A1.25362025-03-250.040.280.250.031.003.9812.0115.7825.36-0.1025.36
债券型015439长盛安逸纯债债券E1.25082025-03-250.040.230.200.081.223.298.6013.6913.66-0.1413.66
债券型004808中银证券安弘债券C1.24882025-03-250.04-0.14-0.88-0.157.526.913.160.959.91-0.3424.88
债券型002705德邦锐兴债券C1.24102025-03-250.040.240.030.401.213.408.669.6118.070.0530.15
债券型004155中信保诚至泰中短债A1.23202025-03-250.040.190.110.090.943.387.899.7213.14-0.0423.20
债券型004438鹏华永安定期开放债券1.23132025-03-250.040.320.270.391.963.9310.5314.2523.480.1947.56
债券型021529中信保诚至泰中短债E1.22912025-03-250.040.180.100.020.802.062.062.062.06-0.112.06
债券型900188中信证券增利一年C1.22182025-03-250.04-0.01-0.070.261.243.9612.2215.3019.210.1419.21
债券型003078泰康安惠纯债债券A1.19792025-03-250.040.210.230.231.142.556.0410.0816.340.0835.13
债券型006865泰康安惠纯债债券C1.18812025-03-250.040.200.210.160.992.255.399.0814.630.0220.18
债券型000402工银纯债债券A1.18312025-03-250.040.200.130.031.403.207.7511.6719.88-0.1365.40
债券型021220工银纯债债券D1.18302025-03-250.040.200.130.031.402.592.592.592.59-0.132.59
债券型006897新华聚利债券C1.17612025-03-250.040.16-0.12-0.620.753.066.477.5811.12-0.7123.47
债券型485022工银尊益中短债F1.17352025-03-250.040.150.170.201.052.176.099.490.000.1417.35
债券型008476招商民安增益债券C1.17342025-03-250.04-1.000.261.096.396.216.269.6718.201.2517.34
债券型519137海富通瑞福债券A1.17052025-03-250.040.29-0.030.191.293.527.8910.5518.71-0.1527.51
债券型485122工银尊益中短债C1.16592025-03-250.040.150.160.140.931.915.568.690.000.0916.59
债券型020002国泰金龙债券A1.16462025-03-250.04-0.32-0.120.988.879.3810.9114.127.490.80145.42
债券型023141国泰金龙债券D1.16312025-03-250.04-0.32-0.080.350.350.350.350.350.350.350.35
债券型162716广发聚源债券(LOF)C1.15862025-03-250.040.18-0.22-0.271.134.769.2812.8417.79-0.7044.85
债券型013593南方中债3-5年农发行债券指数E1.15662025-03-250.040.29-0.06-0.791.034.389.7812.8115.23-0.9415.23
债券型006706国联聚汇定期开放债券1.15562025-03-250.040.22-0.05-0.460.572.896.579.0815.36-0.7117.84
债券型006035国联恒惠纯债A1.15492025-03-250.040.220.100.081.013.086.7211.1718.32-0.1524.45
债券型008204交银稳利中短债债券A1.15422025-03-250.040.230.190.140.862.467.109.9717.720.0219.94
债券型006036国联恒惠纯债C1.15412025-03-250.040.220.090.010.872.776.0910.1716.87-0.2224.26
债券型006073人保鑫瑞中短债债券A1.15382025-03-250.040.180.310.481.252.866.338.8110.220.3817.53
债券型008874国寿安保尊诚纯债C1.15352025-03-250.040.15-0.100.181.614.578.8811.9515.69-0.1515.69
债券型860050光大阳光稳债中短债债券C1.15272025-03-250.040.160.170.130.601.965.428.4014.670.0614.67
债券型008205交银稳利中短债债券C1.15262025-03-250.040.230.160.030.662.056.238.6515.36-0.0817.41
债券型022591人保鑫瑞中短债债券E1.15242025-03-250.040.180.300.380.980.980.980.980.980.300.98
债券型006742南方臻元债券A1.15202025-03-250.040.280.180.201.303.758.2710.8016.14-0.1122.64
债券型023019南方臻元债券C1.15132025-03-250.040.270.170.100.100.100.100.100.10-0.160.10
债券型011943工银瑞盛一年定开纯债债券发起式1.15062025-03-250.040.210.170.071.113.358.4912.1615.06-0.2315.06
债券型002644大成景荣债券A1.15002025-03-250.040.08-0.150.060.923.218.3911.6123.44-0.2629.36
债券型011597汇添富多策略纯债E1.14972025-03-250.040.210.070.121.243.627.8510.5113.26-0.1113.26
债券型002757招商招兴3个月定开C1.14922025-03-250.040.240.300.451.653.037.5010.3316.150.1940.59
债券型290007泰信债券增强收益A1.14912025-03-250.040.21-0.10-0.161.512.586.7510.5821.12-0.5478.48
债券型022516泰信债券增强收益D1.14912025-03-250.040.21-0.10-0.161.271.271.271.271.27-0.541.27
债券型008502鹏扬聚利六个月持有期债券C1.14862025-03-250.040.130.680.245.796.694.967.9415.720.1714.86
债券型851830海通安裕中短债A1.14632025-03-250.040.150.210.261.082.416.018.9410.360.1710.36
债券型012603富安达富利纯债C1.14322025-03-250.040.260.441.363.205.819.5112.0116.031.2016.03
债券型007417泰康信用精选债券A1.14282025-03-250.040.220.160.040.112.887.4410.6118.04-0.2321.69
债券型021396创金合信尊丰纯债D1.14272025-03-250.040.250.210.091.04-3.23-3.23-3.23-3.23-0.07-3.23
债券型003192创金合信尊丰纯债A1.14272025-03-250.040.250.210.091.042.246.359.4615.63-0.0735.66
债券型019482泰康信用精选债券D1.14262025-03-250.040.220.160.040.112.875.445.445.44-0.225.44
债券型007707南方聪元债券C1.14192025-03-250.040.200.19-0.450.292.836.3810.0712.37-0.6315.61
债券型002905博时安仁一年定开发起式债券C1.14182025-03-250.040.290.11-0.250.912.1610.4812.6016.98-0.4829.93
债券型022652圆信永丰丰和E1.14012025-03-250.040.190.180.050.710.710.710.710.71-0.020.71
债券型019069永赢开泰中高等级中短债D1.14002025-03-250.040.180.180.221.102.574.214.214.210.094.21
债券型013216财通资管鸿启90天滚动中短债A1.14002025-03-250.040.180.110.110.812.176.1710.0114.00-0.0614.00
债券型008067圆信永丰丰和A1.13992025-03-250.040.190.180.041.032.645.519.1213.99-0.0313.99
债券型012413建信睿怡纯债C1.13902025-03-250.040.160.01-0.380.952.304.596.9417.67-0.5517.67
债券型022187宝盈盈泰纯债债券E1.13892025-03-250.040.330.00-0.080.770.760.760.760.76-0.320.76
债券型011955招商招祥纯债D1.13892024-06-270.040.100.541.510.000.000.000.001.610.001.61
债券型009605安信永顺一年定开债券1.13822025-03-250.040.180.230.170.923.0610.1914.7124.590.1124.59
债券型007603景顺长城中短债A1.13802025-03-250.040.270.200.000.862.385.768.3714.78-0.1017.12
债券型291007泰信债券增强收益C1.13782025-03-250.040.19-0.14-0.251.322.165.899.2518.70-0.6467.90
债券型019483泰康信用精选债券E1.13782025-03-250.040.210.13-0.04-0.032.575.005.005.00-0.295.00
债券型020656景顺长城中短债债券F1.13752025-03-250.040.270.200.010.862.372.962.962.96-0.102.96
债券型008821大成景悦中短债C1.13752025-03-250.040.220.270.461.503.695.817.4713.740.3213.74
债券型002377建信睿怡纯债A1.13732025-03-250.040.06-0.07-0.420.962.404.927.5214.02-0.5931.05
债券型011658汇添富中高等级信用债A1.13712025-03-250.040.160.05-0.041.033.087.1911.9613.71-0.1413.71
债券型003123天治鑫利纯债债券A1.13622025-03-250.040.210.180.191.233.548.708.3010.490.0819.88
债券型003809招商招顺纯债A1.13602025-03-250.040.250.050.000.922.666.619.5215.70-0.2433.22
债券型002381东海祥瑞A1.13602025-03-250.040.120.170.140.742.227.4610.614.880.1420.30
债券型006797嘉实中短债债券A1.13562025-03-250.040.180.210.110.842.476.789.4416.06-0.0421.91
债券型015209华夏鼎成一年定开债券发起式1.13552025-03-250.040.210.210.110.943.6111.5613.5513.550.0413.55
债券型011660汇添富中高等级信用债E1.13492025-03-250.040.170.04-0.080.922.876.7611.3013.49-0.1813.49
债券型006074人保鑫瑞中短债债券C1.13482025-03-250.040.190.290.411.122.595.787.968.820.3315.62
债券型006799财通资管鸿运中短债债券A1.13462025-03-250.040.150.120.070.852.025.207.8715.84-0.0121.85
债券型851836海通安裕中短债C1.13422025-03-250.040.140.180.190.932.105.367.959.190.109.19
债券型007767华泰保兴尊享定开1.13362025-03-250.040.290.100.090.892.266.939.0515.29-0.0418.79
债券型006149南方赢元债券A1.13332025-03-250.040.250.04-0.041.243.407.1110.7020.74-0.2530.48
债券型001578博时裕瑞纯债债券1.13232025-03-250.040.350.270.040.772.756.748.7712.60-0.1141.04
债券型371120摩根纯债债券B1.13222025-03-250.040.21-0.07-0.290.963.955.446.4112.72-0.5067.38
债券型007949富国泽利纯债债券A1.13222025-03-250.040.250.190.231.473.547.6610.1818.22-0.1218.28
债券型007520富安达富利纯债A1.13222025-03-250.040.270.381.323.215.889.7112.2919.621.1522.08
债券型020489富国泽利纯债债券C1.13192025-03-250.040.240.190.231.473.514.634.634.63-0.134.63
债券型007543永赢开泰中高等级中短债C1.13122025-03-250.040.170.170.171.012.405.938.2615.270.0418.43
债券型009041浦银安盛普天纯债债券A1.13102025-03-250.040.230.270.060.963.027.6010.0613.10-0.0413.10
债券型018166东方红稳添利纯债E1.13092025-03-250.040.220.150.010.962.846.146.156.15-0.266.15
债券型021422工银尊享短债债券D1.13062025-03-250.040.130.240.150.001.841.841.841.840.041.84
债券型006834工银尊享短债债券A1.13062025-03-250.040.130.240.150.982.355.678.3114.590.0419.81
债券型015913华夏鼎安一年定开债券发起式1.12922025-03-250.040.280.16-0.031.323.6310.8912.9212.92-0.2612.92
债券型006798嘉实中短债债券C1.12922025-03-250.040.170.200.080.782.336.488.9714.80-0.0820.10
债券型012618长安泓沣中短债债券E1.12822025-03-250.040.150.230.280.702.317.1710.4611.960.2111.96
债券型005345长安泓润纯债债券A1.12802025-03-250.040.180.030.040.582.418.0910.8616.80-0.0329.91
债券型003269招商招乾3个月定开债A1.12732025-03-250.040.220.130.061.283.347.1211.1716.05-0.1358.63
债券型004630平安合信定开债1.12692025-03-250.040.260.170.090.752.877.1410.8118.38-0.1522.04
债券型000694鑫元鸿利A1.12672025-03-250.040.200.110.181.103.419.6311.4114.17-0.0356.85
债券型008361南方招利一年债券1.12662025-03-250.040.190.24-0.121.043.596.9512.6018.30-0.2818.30
债券型007551鑫元泽利A1.12662025-03-250.04-0.17-0.270.371.953.509.5815.3126.920.1531.88


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