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020024博时信用债纯债债券B1.12432025-03-250.070.370.180.081.493.465.625.625.62-0.145.62
债券型012310民生加银中债3-5年政金债指数1.11032025-03-250.050.21-0.05-0.491.495.1410.1312.8213.45-0.7913.45
债券型008411博时富信纯债债券A1.09692025-03-250.050.280.170.251.493.548.1110.4918.230.0618.33
债券型002991嘉实稳鑫纯债债券1.06292025-03-250.040.23-0.17-0.321.493.887.599.5815.80-0.6428.76
混合型018199交银稳进丰利六个月持有期混合C0.97432025-03-250.070.080.03-0.831.490.44-2.57-2.57-2.57-0.64-2.57
混合型011435中欧研究精选混合A0.68292025-03-25-2.19-5.61-4.380.931.493.08-5.11-12.65-31.711.31-31.71
混合型009027浦银安盛安远回报一年混合A1.15462024-11-190.14-0.84-0.314.001.480.451.39-1.6415.461.1215.46
混合型014949交银恒益灵活配置混合C1.12352025-03-250.13-0.140.12-0.411.481.49-0.140.45-0.90-0.43-0.90
债券型016999上银聚嘉益一年定开债券发起式1.05042025-03-250.060.32-0.29-0.631.485.629.088.888.88-1.028.88
债券型020130蜂巢上清所0-3年政金债指数A1.04612025-03-250.010.100.12-0.141.483.474.604.604.60-0.314.60
债券型018587汇添富双享增利债券C1.04602025-03-25-0.05-0.30-0.210.291.483.884.604.604.600.084.60
债券型018481中金恒新90天持有债券发起1.03852025-03-25-0.13-0.06-0.21-0.091.481.663.853.853.85-0.383.85
债券型000235诺安稳固收益一年定期开放债券A1.03142025-03-210.000.150.000.061.483.207.277.3113.83-0.1454.12
债券型021804财通资管睿丰债券A1.02532025-03-250.030.160.140.001.482.532.532.532.53-0.242.53
债券型020259嘉实稳恒90天持有期债券A1.02452025-03-250.010.220.340.471.482.452.452.452.450.442.45
债券型019559交银稳悦回报债券A1.02252025-03-250.06-0.010.42-0.061.482.252.252.252.25-0.112.25
债券型007999国联安恒利63个月定开债A1.02032025-03-250.000.020.110.741.483.447.6112.2722.150.7323.44
债券型021361国投瑞银和兴债券C1.01972025-03-250.00-0.010.420.251.481.971.971.971.97-0.041.97
股票型021707富国中证红利低波动ETF发起式联接1.01482025-03-26-0.300.273.05-0.621.481.481.481.481.48-0.811.48
股票型021829招商中证A100ETF发起式联接C1.01482025-03-26-0.38-2.40-0.770.061.481.481.481.481.481.221.48
QDII型019518富国全球债券(QDII)人民币C1.27422025-03-24-0.350.100.742.111.484.637.687.687.681.907.68
指数型021707富国中证红利低波动ETF发起式联接1.01482025-03-26-0.300.273.05-0.621.481.481.481.481.48-0.811.48
指数型021829招商中证A100ETF发起式联接C1.01482025-03-26-0.38-2.40-0.770.061.481.481.481.481.481.221.48
债券型006004工银添祥一年定开债券1.29142025-03-250.060.300.290.111.483.848.9511.2618.91-0.1229.14
债券型004388鹏华丰享债券1.26262025-03-250.070.270.060.181.484.119.6113.0622.53-0.1046.22
债券型002404博时裕乾纯债债券C1.19242025-03-250.070.480.290.111.487.7512.7614.9920.00-0.2038.52
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006668华夏中短债债券A1.17082025-03-250.030.160.250.361.483.487.6610.3516.260.1922.61
债券型002737泓德裕和纯债债券C1.12652025-03-250.060.170.080.231.483.497.169.508.760.1029.20
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004021广发汇富一年定期债券A1.08672025-03-210.000.00-0.92-0.961.485.8112.3015.3719.01-1.1241.98
债券型005272安信恒利增强债券C1.07682025-03-250.04-0.140.11-1.111.482.68-0.09-3.891.06-1.097.68
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
指数型022805中加中证A500指数增强发起式C1.01472025-03-26-0.14-1.84-0.151.471.471.471.471.471.471.471.47
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006640中金新元6个月定开债A1.16192025-03-250.000.00-0.56-0.791.473.757.569.7115.99-0.9923.42
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005648招商添琪3个月定开债A1.08022025-03-250.030.220.330.471.473.607.2810.1315.500.2728.89
债券型016608中金安盈90天持有中短债C1.07352025-03-250.030.140.250.301.472.726.047.357.350.197.35
债券型007116华宝政金债债券A1.06872025-03-250.010.18-0.05-0.801.473.236.709.0214.14-0.9318.13
债券型022515农银金盈债券C1.06462025-03-250.050.280.160.021.471.471.471.471.47-0.441.47
债券型005884平安合悦定开债1.06042025-03-250.010.060.170.261.474.3010.0113.0621.350.2334.96
股票型022805中加中证A500指数增强发起式C1.01472025-03-26-0.14-1.84-0.151.471.471.471.471.471.471.471.47
混合型013695弘毅远方久盈混合C0.98672025-03-250.01-0.030.43-0.121.472.08-0.07-1.33-1.33-0.07-1.33
混合型013766平安恒泰1年持有混合C0.92422025-03-25-0.01-0.18-0.16-0.401.47-0.67-2.22-7.25-7.58-0.48-7.58
混合型006601国融融泰灵活配置混合A0.71962025-03-250.030.170.190.351.473.54-1.68-18.34-27.480.25-23.75
混合型006602国融融泰灵活配置混合C0.71582025-03-250.030.170.210.361.473.53-1.95-18.77-27.860.27-24.15
债券型016144工银瑞诚一年定开债券A1.05442025-03-250.020.100.07-0.591.473.978.128.468.46-0.758.46
债券型020308国投瑞银和景180天持有期债券C1.03052025-03-250.02-0.03-0.06-0.131.472.733.053.053.05-0.233.05
债券型004102中信保诚稳悦债券A1.02692025-03-250.100.47-0.06-0.061.473.065.908.0213.33-0.5031.75
债券型009552财通资管丰乾39个月定开债A1.01632025-03-210.000.050.180.551.472.696.0010.0215.910.4815.91
债券型007970国寿安保安泽39个月定开债1.00972025-03-210.000.050.190.601.472.965.728.7615.580.5316.76
债券型008535兴银合盛定开债A1.00912025-03-250.000.040.180.581.472.845.618.3113.150.5413.21
债券型011898长城悦享回报债券C0.87162025-03-250.170.140.430.031.471.991.36-3.19-12.84-0.17-12.84
混合型022784国泰鑫策略价值灵活配置混合C1.41932025-03-250.080.330.571.601.471.471.471.471.471.141.47
混合型004252国泰安益灵活配置混合C1.36752025-03-25-0.02-1.450.130.541.47-1.49-5.70-7.3517.310.4545.14
QDII型022524天弘越南市场股票发起(QDII)D1.48102025-03-240.04-1.74-0.601.101.471.471.471.471.47-0.531.47
QDII型003629摩根全球多元配置(QDII-FOF)人民1.69052025-03-240.640.72-1.500.031.464.5625.8123.4855.81-0.0369.05
混合型970051银河安丰九个月滚动持有混合1.23152025-03-25-0.01-0.020.05-0.531.462.334.108.267.92-0.537.92
混合型014625财通稳兴丰益六个月持有混合A0.98542025-03-25-0.23-0.58-2.60-1.191.462.041.99-1.46-1.46-1.11-1.46
混合型011737宝盈祥庆9个月持有混合C0.91262025-03-250.120.290.72-0.611.463.31-0.23-3.75-8.74-0.93-8.74
债券型400030东方添益债券1.37422025-03-250.070.320.100.341.464.4910.9215.2725.760.0166.35
债券型003358易方达中债7-10年期国开行债券指1.30662025-03-250.120.61-0.74-0.791.465.8513.0717.3325.79-1.3440.31
债券型017459汇添富丰和纯债A1.06592025-03-250.040.28-0.19-0.091.463.819.429.839.83-0.509.83
债券型009529国联中债1-5年国开行A1.06502025-03-250.030.19-0.06-0.551.464.438.6711.4118.26-0.7918.26
债券型003571招商招琪纯债A1.05452025-03-250.050.240.110.151.463.266.8811.0615.42-0.0733.50
债券型009743鹏华中债-0-3年AA+优选信用债C1.04002025-03-250.050.210.100.201.463.406.846.827.99-0.027.99
债券型019364银华华茂定开债券D1.03592025-03-210.000.210.04-0.091.463.855.575.575.57-0.335.57
债券型970151方正证券鑫享三个月滚动债券E1.03212024-01-150.010.070.360.781.463.430.003.213.210.143.21
债券型018719中银证券安澈债券C1.03032025-03-250.040.24-0.07-0.191.464.025.535.535.53-0.555.53
债券型020912银华月月鑫30天持有期债券C1.02322025-03-250.000.020.090.331.462.322.322.322.320.202.32
债券型011039新华利率债债券C1.02322025-03-250.000.110.020.071.463.606.518.3011.90-0.2711.90
债券型010986银华信用季季红债券C1.02182025-03-250.060.210.080.071.463.106.148.9413.98-0.1913.98
债券型020935国联益诚30天持有债券发起式A1.02022025-03-250.000.060.150.401.462.022.022.022.020.322.02
债券型011968农银汇理金盛债券1.01562025-03-250.030.170.05-0.011.464.519.3212.3715.92-0.3215.92
债券型021835东方红益恒纯债债券A1.01502025-03-250.060.25-0.36-0.561.461.501.501.501.50-0.971.50
债券型017681建信睿安一年定期开放债券发起1.01332025-03-250.070.26-0.36-0.321.463.365.805.805.80-0.685.80
债券型020229国泰君安中债0-3年政策性金融债C1.01292025-03-250.050.26-0.10-0.231.463.023.293.293.29-0.583.29
债券型008439融通通华五年定开债券A1.00282025-03-210.000.060.230.691.463.055.575.575.570.605.57
债券型006960浦银中债3-5年农发债指数C1.04322025-03-250.010.12-0.12-0.481.454.849.5712.1119.59-0.6919.59
债券型007065浦银安盛上清所优选短融C1.04152025-03-250.010.050.130.141.452.634.646.2311.260.1113.64
债券型018676渤海汇金汇享益利率债A1.03532025-03-250.050.25-0.09-0.391.454.395.035.035.03-0.675.03
债券型004109中信保诚稳泰债券C1.03342025-03-250.040.21-0.01-0.161.454.037.8011.7317.75-0.4234.30
债券型020777天弘中债3-5年政策性金融债指数发1.02852025-03-250.010.130.00-0.521.455.044.424.424.42-0.734.42
债券型018829兴业嘉远债券1.02612025-03-250.030.21-0.10-0.391.454.526.796.796.79-0.716.79
债券型007589嘉实致元42个月定期债券1.02092025-03-250.010.060.230.681.452.975.909.4618.040.6320.33
债券型002995招商招裕纯债C1.01372025-03-250.050.300.080.121.453.277.9611.8917.44-0.2031.25
债券型015569招商招裕纯债D1.01152025-03-250.050.300.080.121.453.278.849.359.35-0.199.35
混合型009558嘉实稳惠6个月持有期混合A1.07262025-03-25-0.13-0.43-0.640.521.451.953.893.767.260.357.26
QDII型016056博时纳斯达克100ETF发起式联接(QD0.21702025-03-242.211.97-4.87-6.671.458.3949.2446.5246.52-3.3046.52
债券型016295新华利率债债券E1.71162025-03-250.000.110.050.091.4593.4198.4299.2399.23-0.2599.23
债券型900018中信证券增利一年A1.23892025-03-250.050.00-0.030.361.454.3713.1216.7020.880.2420.88
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008956鹏华中债3-5年国开行债券指数A1.10652025-03-250.030.140.03-0.501.454.539.7113.5319.19-0.7619.19
债券型020215国联中债1-5年国开行B1.06412025-03-250.020.18-0.07-0.561.454.436.476.476.47-0.806.47
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018624国泰君安君增利60天滚动持有债券1.06022025-03-250.060.260.431.021.453.616.026.026.020.916.02
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002534华安稳固收益债券A1.27202025-03-250.000.160.080.001.443.507.618.9016.63-0.0895.34
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007282华夏鼎淳债券A1.15442025-03-250.100.100.56-0.161.443.354.664.8116.14-0.1620.83
债券型006935平安3-5年政策性金融债C1.13252025-03-250.010.140.19-0.391.444.518.0310.2920.97-0.4026.82
债券型018964国联恒鑫纯债E1.11302025-03-250.010.100.210.221.444.086.726.726.720.196.72
债券型008957鹏华中债3-5年国开行债券指数C1.11102025-03-250.040.140.03-0.521.444.489.5213.3720.25-0.7620.25
债券型019161博时悦楚纯债债券C1.07292025-03-250.020.200.070.091.443.916.066.066.06-0.116.06
债券型010578汇安永福90天持有中短债C1.07212025-03-250.010.130.310.501.443.315.637.537.530.457.53
债券型022528天弘中债1-5年政策性金融债指数发1.05422025-03-250.020.11-0.01-0.461.441.441.441.441.44-0.641.44
债券型009091兴银汇悦一年定开债发起式1.05272025-03-250.050.290.20-0.041.442.797.058.7114.47-0.1314.57
债券型011166万家陆家嘴金融城金融债1.04762025-03-210.00-0.03-0.29-0.611.443.927.9910.5215.76-0.7515.76
债券型007561国联恒鑫纯债C1.04662025-03-250.010.100.200.221.444.098.7010.8015.800.1820.26
债券型014289淳厚稳丰债券C1.04652025-03-14-0.010.01-0.010.101.442.875.786.756.750.016.75
债券型000227华安年年红债券A1.04602025-03-210.000.100.100.101.443.687.128.5614.430.0082.61
债券型020131蜂巢上清所0-3年政金债指数C1.04492025-03-250.000.100.11-0.151.443.394.484.484.48-0.324.48
债券型006565光大尊泰定开债1.03322025-03-250.010.060.200.631.442.915.758.5815.050.5816.00
债券型021260国泰君安120天持有债券发起A1.03302025-03-250.010.050.150.361.443.303.303.303.300.333.30
债券型016745大摩18个月定开债A1.02902025-03-210.000.10-1.15-0.401.444.468.178.228.22-0.498.22
债券型022132鹏华中债3-5年国开行债券指数D1.01772025-03-250.030.150.03-0.511.442.032.032.032.03-0.752.03
债券型002994招商招裕纯债A1.00842025-03-250.050.300.080.121.443.277.969.9417.58-0.1933.91
债券型022094恒生前海恒源昭利债券A1.00822025-03-250.030.240.250.501.440.820.820.820.820.430.82
债券型016023兴业添益6个月定开债券1.00292025-03-250.030.21-0.03-0.221.444.638.679.509.50-0.629.50
混合型001332鹏华弘信混合C1.45882025-03-250.030.140.040.031.442.867.718.2422.17-0.1552.49
混合型017467鑫元消费甄选混合发起A0.59862025-03-25-5.57-13.35-12.42-8.391.44-24.02-40.14-40.14-40.14-5.00-40.14
债券型022592中加聚鑫纯债一年D1.25202025-03-210.000.28-0.22-0.111.431.431.431.431.43-0.601.43
债券型004705南方祥元债券A1.20212025-03-250.060.220.210.021.433.848.3412.1319.98-0.2239.81
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016923金鹰添兴一年定开债券发起式1.05732025-03-250.070.49-0.09-0.051.433.675.735.735.73-0.535.73
混合型022288合煦智远嘉选混合E1.24832025-03-25-0.75-1.760.171.571.431.431.431.431.431.461.43
混合型011209泰康招享混合C1.06172025-03-250.01-0.17-0.330.251.435.217.336.176.17-0.266.17
混合型022284鹏华弘信混合E1.01432025-03-250.020.140.050.061.431.431.431.431.43-0.121.43
混合型017232工银稳润一年持有混合A0.97602025-03-25-0.05-0.330.100.171.431.42-1.96-2.40-2.400.03-2.40
混合型012487博时恒玺一年持有期混合A0.95302025-03-25-0.15-0.36-0.010.311.433.67-4.51-4.33-4.700.28-4.70
债券型013115鑫元金融债3个月定开1.05412025-03-250.040.23-0.09-0.301.434.198.0410.8412.92-0.6912.92
债券型005375建信睿和纯债定开债1.03722025-03-250.030.180.150.181.433.357.7610.8518.49-0.0834.94
债券型020895汇添富稳鼎120天滚动持有债券A1.03082025-03-250.030.110.190.351.433.083.083.083.080.233.08
债券型019467信澳鑫裕6个月持有期债券C1.02872025-03-25-0.01-0.240.450.561.432.872.872.872.870.522.87
债券型015471万家鑫橙纯债A1.02442025-03-250.020.21-0.26-0.441.434.388.6910.4410.44-0.8210.44
债券型004920富国泓利纯债债券型发起式A1.05172025-03-250.060.300.070.081.423.467.9711.3619.56-0.1439.98
债券型019083万家稳安60天持有期债券A1.04942025-03-250.020.100.190.401.423.684.944.944.940.214.94
债券型015447安信华享纯债A1.04882025-03-250.010.13-0.07-0.091.423.446.757.787.78-0.407.78
债券型004322创金合信尊隆纯债A1.04402025-03-250.050.210.240.341.423.368.0311.3019.460.1535.20
债券型020939永赢安裕120天滚动持有债券A1.03782025-03-250.030.140.240.141.423.783.783.783.780.133.78
债券型020664华安季季鑫90天持有债券C1.03432025-03-250.060.220.410.551.423.373.433.433.430.293.43
债券型008117博时稳欣39个月定开债1.03312025-03-250.010.070.210.621.422.985.748.7915.720.5816.84
债券型005820博时富兴纯债3个月定开债发起式1.03212025-03-210.000.16-0.14-0.291.423.498.4711.9919.71-0.3335.56
债券型020078金信民富债券A1.02662025-03-250.030.07-0.140.131.423.1938.6438.6438.64-0.1738.64
债券型004103中信保诚稳悦债券C1.02622025-03-250.090.46-0.07-0.101.422.985.727.7012.90-0.5331.28
债券型020301平安惠嘉纯债A1.01652025-03-250.040.110.15-0.041.421.651.651.651.65-0.341.65
混合型004176博时鑫泰混合C1.51782025-03-250.170.220.40-0.411.423.675.327.0133.43-0.4681.79


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。


图看指数中证800 中小300 基金指数 中小100 中证A100 中证1000 上证综合全收益 上证380 中证2000 创业板指 中证500 上证指数 央视50 国债指数 企债指数
友情链接: 无法读取文件!