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005854财通汇利债券A1.02462025-03-250.040.230.17-0.101.043.146.8010.0815.55-0.1527.01
债券型005849鑫元合利定开债发起式1.02462025-03-250.050.240.17-0.100.982.926.749.6516.66-0.2129.32
债券型005099易方达富华纯债A1.02442025-03-250.030.180.170.261.092.977.7711.230.000.1215.53
债券型008759摩根瑞泰38个月定期开放债券A1.02352025-03-210.000.040.170.531.132.675.008.1912.960.4512.97
债券型021113渤海汇金2个月滚动持有债券发起C1.02312025-03-250.020.090.170.311.572.312.312.312.310.102.31
债券型015438中银荣享债券1.02312025-03-250.030.170.17-0.190.733.076.647.627.62-0.347.62
债券型004567新华安享惠泽39个月定开债A1.02162025-03-210.000.050.170.501.052.624.887.9213.720.4313.74
债券型008550汇安中债-广西信用债C1.02142025-03-250.040.350.170.130.833.786.587.5814.790.1215.35
债券型110052易方达安源中短债债券C1.02102025-03-250.010.110.170.110.721.854.957.0813.21-0.0116.34
债券型005718长信富瑞两年定开债券A1.01962025-03-210.000.040.170.501.092.454.737.6915.910.4317.18
债券型020395国联安双月享60天持有债券A1.01792025-03-250.010.140.170.211.311.791.791.791.790.061.79
债券型007913财通资管丰和两年定开债A1.01692025-03-210.000.050.170.511.362.525.037.8414.900.4415.65
债券型015811兴证全球恒泰一年定开债发起式1.01392025-03-250.070.350.17-0.050.973.438.189.399.39-0.349.39
债券型006664易方达安悦超短债F1.01392025-03-250.010.050.170.310.821.874.717.2012.780.2418.24
债券型017153汇添富鑫悦纯债C1.01382025-03-25-0.020.010.17-0.040.942.746.967.617.61-0.117.61
债券型012623金鹰添盈纯债债券C1.01382025-03-250.070.380.170.05-0.351.13137.04137.77109.41-0.13109.41
债券型017546弘毅远方中短债债券C1.01372025-03-250.010.110.17-0.110.350.543.393.393.39-0.203.39
债券型008608广发汇浦三年定期开放债券1.01372025-03-210.000.050.170.511.062.424.868.3313.990.4413.99
债券型021268安信180天持有债券C1.01192025-03-250.060.110.170.050.981.191.191.191.19-0.041.19
债券型007462德邦锐泓债券C1.01162025-03-250.060.260.170.000.892.696.6610.1217.69-0.0820.63
债券型007461德邦锐泓债券A1.01162025-03-250.060.260.170.010.912.716.6910.1517.72-0.0720.74
债券型021790华宝宝嘉30天持有期债券A1.01132025-03-250.030.220.170.210.831.131.131.131.130.101.13
债券型007278国泰兴富三个月定开债1.01092025-03-250.040.220.170.201.203.277.8410.4517.230.0321.60
债券型003674融通通玺债券1.01052025-03-250.020.130.170.090.772.705.828.3013.91-0.1130.61
债券型003384金鹰添盈纯债债券A1.00972025-03-250.070.380.170.06-0.341.13142.34145.18110.49-0.12149.67
债券型021954金鹰添盈纯债债券D1.00912025-03-250.070.380.170.06-0.35-1.04-1.04-1.04-1.04-0.12-1.04
债券型021128恒越季季乐3个月滚动持有债券C1.00902025-03-250.030.220.170.530.900.900.900.900.900.590.90
债券型022250国寿安保超短债债券E1.00872025-03-250.020.090.170.280.870.870.870.870.870.230.87
债券型022131鹏华普利债券E1.00862025-03-250.020.130.170.180.770.860.860.860.860.070.86
债券型007761鑫元安睿三年定开债1.00722025-03-210.000.050.170.541.142.564.977.3514.350.4616.30
债券型008339嘉实安元39个月定期纯债C1.00482025-03-250.010.050.170.511.082.404.597.3313.060.4713.87
债券型008017国泰惠信三年定开债1.00232025-03-250.010.040.170.521.282.444.907.5314.150.4815.35
债券型008472工银泰颐三年定开债券C1.00132025-03-250.000.040.170.481.282.454.837.0712.230.4412.80
债券型022617摩根共同分类目录绿色债券A1.00102025-03-250.030.160.170.040.100.100.100.100.10-0.010.10
债券型022618摩根共同分类目录绿色债券C1.00082025-03-250.040.170.170.030.080.080.080.080.08-0.030.08
债券型019648中海中短债债券C0.96152025-03-250.010.100.170.090.862.273.523.523.520.053.52
债券型013614泰信鑫瑞债券发起式A0.93412025-03-250.050.010.170.304.993.840.07-6.48-6.590.26-6.59
混合型003496鹏华弘尚混合C1.60762025-03-250.070.320.170.040.010.9310.9415.0337.86-0.1068.76
混合型022578天弘价值精选混合发起E1.55602025-03-250.030.030.17-0.080.450.450.450.450.45-0.260.45
混合型001330鹏华弘实混合C1.52152025-03-250.010.110.170.160.732.503.151.0822.630.0557.37
混合型005975东方红配置精选混合C1.51162025-03-25-0.17-1.080.171.677.019.9110.9614.8036.621.9751.16
QDII型016280广发全球医疗保健指数人民币(QDII2.39702025-03-240.250.170.175.64-2.723.5918.6619.0219.026.4919.02
债券型000078工银信用纯债三个月定开债A1.63452025-03-250.060.270.17-0.091.093.417.9211.5318.79-0.3163.45
债券型531021建信纯债债券C1.57692025-03-250.020.150.170.061.142.836.999.6616.25-0.1359.43
债券型009083华夏鼎佳债券C1.51462025-03-250.030.150.170.131.723.668.1110.7762.00-0.0962.00
债券型004042华夏鼎茂债券A1.38042025-03-250.020.200.170.612.375.9312.7315.4421.940.2145.32
债券型004043华夏鼎茂债券C1.37862025-03-250.020.200.170.582.345.8412.5215.0821.320.1944.22
债券型007053平安季开鑫定开债A1.27572025-03-250.030.160.170.080.541.936.0312.4622.40-0.1527.57
债券型021374创金合信恒兴中短债债券D1.25562025-03-250.000.140.170.090.761.841.841.841.84-0.091.84
债券型005307财通资管鸿达债券A1.24872025-03-250.020.100.170.190.822.015.388.0215.860.1327.11
债券型007745长盛安逸纯债债券C1.22862025-03-250.030.230.170.001.082.987.9412.6722.44-0.2122.86
债券型004428交银增利增强债券C1.21692025-03-250.14-0.280.171.004.624.153.036.1232.361.0061.48
债券型021144易方达高等级信用债债券D1.20982025-03-250.060.270.170.061.343.393.393.393.39-0.183.39
债券型000147易方达高等级信用债债券A1.20972025-03-250.050.260.170.041.324.2810.526.6811.53-0.1959.79
债券型001941融通通源短融债券B1.19822025-03-250.020.090.170.330.902.204.627.0412.840.3330.72
债券型003461嘉实稳元纯债债券A1.17892025-03-250.030.150.170.080.982.756.268.4814.37-0.1433.33
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180025银华信用双利债券A1.17702025-03-250.00-0.420.170.513.985.281.032.4412.220.6086.54
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008774招商鑫福中短债A1.16912025-03-250.020.100.170.301.112.555.938.7016.910.1916.91
债券型022581天弘弘择短债E1.16382025-03-250.010.040.170.340.540.540.540.540.540.300.54
债券型007150南方初元中短债C1.16242025-03-250.020.090.170.000.771.794.206.6813.07-0.1516.24
债券型000016华夏纯债债券C1.16022025-03-250.020.110.170.351.693.647.0710.0715.250.1853.26
债券型006914南方华元C1.15842025-03-250.030.320.170.030.913.246.629.1014.87-0.2820.31
债券型006629招商鑫悦中短债A1.15532025-03-250.030.110.170.181.082.566.148.9215.850.0824.19
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180026银华信用双利债券C1.14902025-03-250.00-0.430.170.443.794.840.171.239.990.5276.63
债券型019070永赢开泰中高等级中短债E1.14892025-03-250.030.170.170.221.112.625.035.035.030.095.03
债券型006646汇添富短债债券A1.14752025-03-250.020.080.170.250.992.154.987.2013.360.1919.33
债券型019446汇添富短债债券D1.14672025-03-250.020.080.170.250.952.103.603.603.600.193.60
债券型012392兴银稳安60天滚动持有债券A1.13622025-03-250.030.110.170.230.972.406.909.8713.620.1613.62
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012393兴银稳安60天滚动持有债券C1.13392025-03-250.030.110.170.220.942.356.799.7013.390.1513.39
债券型006902长盛安鑫中短债A1.13392025-03-250.020.110.170.170.581.805.518.9015.010.1120.08
债券型000322农银汇理金汇债券A1.13322025-03-250.010.060.170.241.122.425.457.910.000.1613.32
债券型004800浦银安盛盛通定开债券1.13282025-03-250.020.110.170.060.862.024.637.1713.14-0.1025.08
债券型019100东方红稳添利纯债B1.13122025-03-250.050.230.170.051.053.024.734.734.73-0.224.73
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004053华夏鼎智债券C1.13032025-03-250.010.100.170.120.732.134.917.7413.470.0129.68
债券型022540天弘安利短债E1.12822025-03-250.020.090.170.250.730.730.730.730.730.160.73
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000255长城增强收益定开债券C1.12492025-03-250.11-0.100.170.983.506.7215.2716.4125.080.2076.97
债券型004980华夏鼎诺三个月定开债C1.12362025-03-250.060.260.170.091.233.828.7311.800.00-0.1416.95
债券型541005汇丰晋信平稳增利中短债债券C1.12062025-03-250.030.150.170.090.702.034.556.9311.45-0.0250.78
债券型952050国泰君安60天滚动持有中短债B1.11852025-03-250.030.130.170.250.962.416.5910.1010.190.1210.19
债券型015248国泰君安60天滚动持有中短债A1.11682025-03-250.030.130.170.260.962.406.6010.0510.020.1210.02
债券型012581财通资管鸿安30天滚动中短债C1.11612025-03-250.030.110.170.210.852.035.287.8311.610.1511.61
债券型004979华夏鼎诺三个月定开债A1.11592025-03-250.060.250.170.111.283.918.9412.1417.31-0.1323.69
债券型021043天弘弘利债券E1.11562025-03-250.000.140.170.170.593.083.073.073.070.063.07
债券型012396兴业60天滚动持有短债债券C1.11562025-03-250.020.110.170.280.892.145.398.5611.560.1711.56
债券型004960平安合泰定开债1.11502025-03-250.040.240.17-0.170.682.9811.2014.8119.95-0.3324.66
债券型012423山证资管超短债E1.11472025-03-250.010.060.170.270.801.804.998.3111.470.2311.47
债券型009922华夏鼎富债券A1.11472025-03-250.030.200.17-0.080.650.828.6810.7416.96-0.1316.96
债券型022530天弘安怡30天滚动持有短债发起E1.11122025-03-250.020.070.170.300.730.730.730.730.730.230.73
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020694光大保德信超短债债券D1.11052025-03-250.020.100.170.381.142.702.762.762.760.332.76
债券型021601交银稳利中短债债券E1.10732025-03-250.050.240.170.130.801.451.451.451.450.011.45
债券型013820华安顺穗债券1.10362025-03-250.100.230.170.251.153.316.839.6010.36-0.1310.36
债券型016799建信鑫和30天持有期债券A1.10342025-03-250.030.190.170.261.563.728.5310.3410.34-0.0810.34
债券型020244大摩优质信价纯债E1.10192025-03-250.050.260.17-0.011.223.977.197.197.19-0.277.19
债券型013700永赢安盈90天滚动持有债券发起C1.10162025-03-250.020.070.170.371.012.376.369.5110.150.1710.15
债券型016800建信鑫和30天持有期债券C1.10092025-03-250.040.200.170.251.533.638.3110.0910.09-0.1010.09
债券型014884兴银合鑫债券1.10092025-03-250.070.270.170.071.033.087.7110.0910.09-0.0310.09
债券型014570东吴鼎泰纯债债券C1.09952025-03-250.050.290.170.170.762.736.117.578.130.048.13
债券型016318东方臻裕债券A1.09922025-03-250.050.230.170.101.073.218.2410.0210.02-0.2310.02
债券型015081兴业90天滚动持有中短债A1.09812025-03-250.030.110.170.301.012.425.839.819.810.189.81
债券型013799财通安裕30天持有期中短债A1.09762025-03-250.040.170.170.220.792.055.369.559.760.149.76
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019097东方臻裕债券E1.09582025-03-250.050.230.170.101.023.166.606.606.60-0.236.60
债券型019977博时富信纯债债券C1.09552025-03-250.050.280.170.221.393.455.225.225.220.045.22
债券型013801财通安裕30天持有期中短债E1.09402025-03-250.040.170.170.190.741.965.159.219.400.129.40
债券型015815浦银稳鑫120天滚动持有中短债A1.09392025-03-250.020.100.170.221.082.496.339.399.390.069.39
债券型013673国联安恒悦90天持有债券C1.09392025-03-250.010.080.170.140.922.156.049.399.390.039.39
债券型022532天弘安悦90天滚动持有短债发起E1.09372025-03-250.020.080.170.180.770.770.770.770.770.050.77
债券型013100招商稳乐中短债90天持有期债券C1.09322025-03-250.020.090.170.290.942.376.398.309.320.179.32
债券型015581国寿安保泰然纯债债券1.09152025-03-250.050.200.170.181.664.368.479.159.15-0.079.15
债券型000329鹏华丰饶定开债1.09092025-03-250.030.150.170.081.352.637.041.2510.66-0.0126.37
债券型013800财通安裕30天持有期中短债C1.09052025-03-250.040.170.170.170.691.854.948.899.050.099.05
债券型970088东吴安鑫中短债B1.09022025-03-250.020.110.170.351.152.716.228.249.020.299.02
债券型001693招商招利1个月期理财债券C1.09022025-03-250.010.100.170.200.491.222.974.508.490.179.02
债券型000809招商招利1个月期理财债券B1.09022025-03-250.010.100.170.200.491.222.974.508.500.179.02
债券型000808招商招利1个月期理财债券A1.09022025-03-250.010.100.170.200.491.222.974.508.500.179.02
债券型003277中信保诚稳瑞债券A1.09012025-03-250.020.130.170.110.752.585.568.0713.10-0.0528.97
债券型004615鹏扬利泽债券C1.08992025-03-250.030.160.17-0.020.651.925.057.8613.05-0.1125.56
债券型090021大成月添利一个月滚动持有中短债A1.08982025-03-250.030.190.170.171.062.245.176.630.000.098.98
债券型004978富国聚利三个月定开债1.08832025-03-250.040.220.17-0.130.593.177.8611.6320.25-0.3538.65
债券型001968光大尊盈半年定开债A1.08812025-03-250.060.320.17-0.270.571.935.547.7913.82-0.4028.90
债券型006596国泰聚禾纯债债券1.08782025-03-250.060.300.170.301.323.828.9212.9919.730.0526.16
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008427华安安敦债券C1.08572025-03-250.020.140.17-0.020.681.724.276.528.57-0.098.57
债券型021417国富中债绿色普惠金融债券指数C1.08532025-03-250.020.140.17-0.167.849.029.029.029.02-0.249.02
债券型015350银河季季盈90天滚动持有短债A1.08462025-03-250.030.120.171.121.833.767.408.468.461.018.46
债券型015532鹏华稳福中短债债券E1.08412025-03-250.020.100.170.180.731.987.508.418.410.088.41
债券型016035建信鑫福60天持有中短债债券C1.08232025-03-250.030.130.170.080.962.526.188.238.23-0.078.23
债券型009923华夏鼎富债券C1.08222025-03-250.030.190.17-0.110.601.075.627.5213.49-0.1613.49
债券型020883南方月月享30天滚动持有债券发起E1.07882025-03-250.040.090.170.181.223.213.573.573.570.003.57
债券型018193建信鑫弘180天持有期债券C1.07802025-03-250.020.190.170.571.924.637.807.807.800.097.80
债券型013822南方月月享30天滚动持有债券发起A1.07722025-03-250.040.090.170.201.233.074.256.667.720.007.72
债券型016109南方振元债券发起A1.07642025-03-25-0.22-0.640.170.372.554.005.877.647.640.347.64
债券型016407中泰稳固30天持有中短债A1.07592025-03-250.020.110.170.251.092.546.597.597.590.157.59
债券型017059国泰君安90天滚动持有中短债C1.07482025-03-250.020.130.170.210.792.076.077.487.480.117.48
债券型003130中信保诚稳利债券C1.07422025-03-250.050.230.170.011.012.786.269.3413.64-0.1829.30
债券型008108国联安短债债券A1.07332025-03-250.020.090.170.210.832.025.568.5215.470.1516.72
债券型022375招商鑫诚短债D1.07072025-03-250.010.050.170.320.540.540.540.540.540.270.54
债券型016813长信稳航30天持有中短债债券C1.06992025-03-250.010.050.170.370.881.864.896.996.990.316.99
债券型009168博时富祥纯债债券C1.06972025-03-250.050.250.17-0.090.862.667.279.4616.34-0.3116.34
债券型008426华安安敦债券A1.06852025-03-250.020.140.170.010.731.834.486.626.85-0.076.85
债券型005595招商添润3个月定开债C1.06672025-03-250.040.240.170.121.273.868.0111.610.00-0.0918.02


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。


图看指数上证180 中小300 中证200 成份B指 央视50 深证综指 深证300 沪深300 中证A50 中证500 上证指数 上证50 中证2000 深证100R 创业大盘
友情链接: 无法读取文件!