• 活期宝
    7x24灵活取现
    最快1秒到账
  • 关联基金最高7日年化2.84% 充值
    快取单日限额最高超40万元详情
    2024-04-25
  • 指数宝
    看好的盘不错过
  • 景顺长城沪深30近1年 -7.98%
    国泰纳斯达克10近1年 39.47%
    2024-04-25
  • 热门基金
    十元起轻松投资
  • 万家精选混合A近1年 31.34%
    万家精选混合C近1年 30.56%
    2024-04-25
基金公司筛选:
基金代码基金名称单位净值|日期日增长率近1周近1月近3月近6月近1年近2年近3年今年来成立来手续费|起购金额操作
015830平安惠复纯债A1.143604-250.07%0.05%0.57%1.31%2.41%25.63%------1.46%26.61%
0.06%0.60%
10元
015831平安惠复纯债C1.100904-250.07%0.05%0.57%1.30%2.38%25.33%------1.46%25.93%
10元
003401工银可转债债券1.586304-250.35%0.62%1.84%9.82%18.89%13.60%21.63%14.92%10.87%58.63%
0.08%0.80%
10元
007214国泰惠丰纯债债券A1.150304-25-0.07%-0.10%1.08%4.17%8.68%10.29%11.65%14.93%6.17%20.73%
0.06%0.60%
10元
002569博时裕弘纯债债券A1.113404-250.04%0.13%1.09%4.48%5.97%10.05%12.55%17.05%4.96%33.37%
0.08%0.80%
10元
007091东兴兴福一年定开债券A1.275304-19---0.20%0.59%1.50%4.72%9.74%16.03%21.19%2.08%27.53%
0.06%0.60%
10元
007769东兴兴瑞一年定开A1.303004-19---0.17%0.75%1.50%4.02%9.68%19.68%28.60%1.90%38.82%
0.06%0.60%
10元
015542东兴兴福一年定开债券C1.272904-19---0.19%0.58%1.47%4.67%9.63%------2.05%15.02%
10元
002988平安鼎信债券A1.068404-25-0.06%-0.34%0.52%4.90%10.84%9.58%10.12%9.60%6.02%35.36%
0.08%0.80%
10元
013333东兴兴瑞一年定开C1.299704-19---0.16%0.74%1.47%3.97%9.57%19.45%---1.87%25.42%
10元
003260博时利发纯债债券A1.051704-250.00%0.04%0.72%1.54%2.70%9.47%12.28%16.58%1.84%32.62%
0.08%0.80%
10元
017592汇添富添添乐双盈债券A1.086404-250.07%0.01%0.99%5.99%8.43%9.38%------7.55%8.64%
0.08%0.80%
10元
900018中信证券增利一年A1.199304-25-0.07%0.09%1.04%2.84%7.65%9.31%12.26%---4.21%17.02%
0.06%0.60%
10元
000254长城增强收益定期开放债券A1.104604-250.11%-0.03%0.87%3.13%5.37%9.23%10.77%12.88%3.77%74.39%
0.06%0.60%
10元
005637国联聚业定期开放债券1.058904-25-0.06%0.21%1.18%2.66%5.75%9.11%14.91%22.08%3.55%34.04%
0.06%0.60%
10元
002904博时安仁一年定开发起式债券A1.142504-25-0.03%0.05%0.45%0.95%7.45%8.98%11.50%15.31%1.12%34.01%
0.06%0.60%
10元
017593汇添富添添乐双盈债券C1.081004-250.06%0.00%0.97%5.89%8.22%8.94%------7.41%8.10%
10元
900188中信证券增利一年C1.187104-25-0.07%0.08%1.00%2.73%7.43%8.86%11.36%---4.07%15.83%
10元
000255长城增强收益定期开放债券C1.102104-250.11%-0.03%0.84%3.03%5.16%8.78%9.89%11.54%3.63%67.21%
10元
014258国联恒泽纯债C1.103304-250.03%0.02%0.25%0.82%2.01%8.65%10.60%---0.96%11.42%
10元
009461东方臻萃3个月定开债券A1.089404-25-0.02%0.23%0.84%2.24%4.67%8.43%14.92%22.08%2.76%27.48%
0.08%0.80%
10元
007540华泰保兴安悦债券A1.063404-25-0.07%-0.23%1.27%4.09%7.27%8.42%10.31%13.68%5.12%19.58%
0.08%0.80%
10元
009462东方臻萃3个月定开债券C1.125304-25-0.02%0.23%0.83%2.23%4.62%8.33%14.68%21.70%2.73%26.95%
10元
002905博时安仁一年定开发起式债券C1.122204-25-0.03%0.05%0.40%0.82%7.13%8.33%10.16%13.12%0.94%27.70%
10元
010102西部利得鑫泓增强债券A0.990904-250.07%-0.53%1.18%10.14%8.54%8.26%11.37%3.18%9.90%-0.91%
0.08%0.80%
10元
004960平安合泰定开债1.125604-25-0.04%0.12%0.86%1.61%2.40%7.95%11.95%15.82%1.80%22.09%
0.08%0.80%
10元
000306天弘弘利债券A1.089104-250.04%0.05%0.63%3.96%6.63%7.88%10.34%14.65%4.64%61.80%
0.03%0.30%
10元
008654诺德汇盈一年定开1.149504-19---0.24%0.84%2.11%4.76%7.76%11.58%16.72%2.64%18.95%
0.08%0.80%
10元
900026中信证券信盈一年持有债券1.006804-25-0.03%0.09%0.68%2.31%5.77%7.75%8.93%---3.26%11.95%
0.08%0.80%
10元
006549国金惠盈纯债A1.235204-25-0.07%0.11%1.41%2.84%5.83%7.69%12.28%18.64%3.63%27.93%
0.06%0.60%
10元
000116嘉实丰益纯债定期债券1.028804-25-0.01%0.10%0.59%1.60%4.94%7.66%11.04%13.57%2.35%63.44%
0.06%0.60%
10元
008798国金惠安利率债A1.133604-250.06%0.09%1.19%3.35%5.30%7.62%10.57%16.98%3.84%15.67%
0.06%0.60%
10元
003218前海开源祥和债券A1.477804-250.01%-0.71%-0.71%1.50%6.15%7.61%5.06%22.41%2.92%55.14%
0.08%0.80%
10元
007212山西证券裕泰3个月定开1.120904-25-0.04%---0.89%2.23%4.57%7.59%13.34%18.75%2.82%27.24%
0.08%0.80%
10元
000896鑫元聚鑫收益增强A1.103404-250.14%-0.12%-0.36%5.09%7.50%7.54%8.43%6.63%5.74%16.60%
0.06%0.60%
10元
008568蜂巢丰业一年定开债发起式1.055804-250.02%0.06%0.59%4.96%6.52%7.53%10.40%15.40%5.47%20.54%
0.06%0.60%
10元
162712广发聚利债券(LOF)A1.610604-25-0.04%0.29%1.42%3.01%5.42%7.49%10.28%10.19%3.80%129.45%
0.08%0.80%
10元
008799国金惠安利率债C1.128604-250.06%0.09%1.18%3.31%5.25%7.49%10.33%16.57%3.80%15.17%
10元
006760国金惠盈纯债C1.225504-25-0.07%0.11%1.39%2.78%5.73%7.46%11.83%17.92%3.57%26.46%
10元
009604国金惠盈纯债E1.214904-25-0.07%0.12%1.39%2.77%5.71%7.40%11.69%17.75%3.55%18.37%
10元
006715东方永泰纯债1年A1.123204-19---0.26%0.86%1.87%4.95%7.34%8.91%12.52%2.41%18.98%
0.06%0.60%
10元
010103西部利得鑫泓增强债券C0.975604-250.08%-0.53%1.17%9.82%7.86%7.34%10.30%1.05%9.29%-2.44%
10元
009050易方达恒裕一年定开债1.047804-25-0.07%0.16%0.95%2.30%5.26%7.32%9.29%15.37%3.21%19.60%
0.06%0.60%
---
005070长江乐丰纯债1.076704-250.00%0.13%0.75%2.10%5.02%7.28%8.91%13.23%2.98%32.84%
0.06%0.60%
---
014448安信永宁一年定开债发起式1.038504-25-0.07%0.24%1.32%2.33%5.06%7.28%11.61%---3.09%12.71%
0.08%0.80%
---
017045达诚腾益债券A1.071904-25-0.04%-0.11%0.88%3.07%5.29%7.22%------3.24%7.19%
0.07%0.70%
10元
010011景顺景颐招利6个月持有期债券A1.139504-250.10%-0.87%2.38%5.80%7.59%7.21%13.45%19.34%6.36%23.95%
0.08%0.80%
10元
006716东方永泰纯债1年C1.135104-19---0.26%0.86%1.84%4.89%7.20%8.34%11.48%2.38%16.82%
10元
002924华商瑞鑫定开债1.714004-19---1.54%5.41%7.46%5.35%7.19%3.94%15.65%4.19%71.40%
0.08%0.80%
10元
003289创金合信尊泰纯债债券1.011804-250.02%0.13%0.76%2.29%4.44%7.18%12.68%16.93%2.88%19.92%
0.08%0.80%
10元
003219前海开源祥和债券C1.451604-250.00%-0.71%-0.75%1.40%5.93%7.17%4.19%20.91%2.78%52.46%
10元
006150招商添利两年债券1.547404-19---0.16%0.60%1.65%4.09%7.16%14.03%26.02%2.23%54.74%
0.06%0.60%
10元
000744北信瑞丰稳定收益A1.276004-250.00%0.16%0.95%1.92%4.76%7.14%12.82%21.18%2.49%63.26%
0.08%0.80%
10元
005591汇添富鑫永定开债C------0.14%0.24%0.73%1.96%7.14%7.14%7.14%7.14%7.14%
000897鑫元聚鑫收益增强C1.062504-250.14%-0.12%-0.39%4.98%7.29%7.13%7.57%5.36%5.62%12.29%
10元
003324东方永兴18个月定开债A1.292704-25-0.03%0.16%1.06%2.41%4.39%7.13%15.96%20.63%3.14%51.82%
0.06%0.60%
10元
007235广发聚利债券(LOF)C1.583204-25-0.05%0.29%1.39%2.92%5.23%7.10%9.49%9.02%3.69%18.41%
10元
014486汇添富淳享一年定开债券发起式A1.041704-25-0.05%0.23%1.20%2.38%4.99%7.04%------3.22%7.89%
0.06%0.60%
---
004821国寿安保安吉纯债半年定开债1.056204-19---0.32%0.95%2.18%4.22%7.02%11.09%16.37%2.67%38.30%
0.08%0.80%
10元
016658兴华安裕利率债A1.073204-25-0.03%0.09%1.49%3.64%6.09%7.02%------4.55%7.32%
0.08%0.80%
10元
013866中信建投景明一年定开债券发起式1.099304-25------1.20%2.93%5.25%7.02%9.96%---3.49%9.93%
0.05%0.50%
---
005828长江乐越定开债1.043404-19---0.28%1.09%2.19%4.51%7.00%10.93%17.07%2.78%33.53%
0.06%0.60%
---
017584鑫元聚鑫收益增强D1.097204-250.14%-0.13%-0.40%4.98%7.20%7.00%------5.59%7.37%
10元
012540东方兴润债券C1.031304-25-0.02%0.15%0.83%1.76%3.95%6.96%9.33%---2.44%3.13%
10元
006980国寿安保泰恒纯债债券1.093304-250.01%0.12%0.80%2.46%4.32%6.95%10.45%14.07%3.02%20.30%
0.08%0.80%
10元
004021广发汇富一年定期债券A1.071804-19---0.37%1.24%2.61%4.01%6.91%9.52%15.44%2.82%35.83%
0.08%0.80%
10元
013579鹏扬丰利一年定开债A1.096804-250.02%0.13%0.78%2.28%5.02%6.91%------2.93%9.68%
0.08%0.80%
10元
007429鹏扬淳盈6个月定开债A1.091904-250.01%0.17%1.06%2.49%4.48%6.90%9.91%13.69%3.07%21.56%
0.06%0.60%
---
009605安信永顺一年定开债券1.158304-25-0.01%0.13%0.70%1.95%3.66%6.88%11.48%18.74%2.40%21.74%
0.08%0.80%
---
005127平安合正定开债1.073804-25-0.03%0.04%0.53%1.75%4.80%6.87%8.75%12.58%2.39%33.34%
0.08%0.80%
10元
016431中海丰盈三个月定期开放债券1.066504-250.09%-0.08%0.44%2.83%5.78%6.84%------4.44%7.39%
0.03%0.30%
10元
008700泰康瑞丰3月定开债券1.175604-19---0.44%1.28%2.40%4.31%6.83%9.69%14.70%2.88%17.56%
0.05%0.50%
10元
008644天弘季季兴三个月定开A1.092904-19---0.46%1.29%2.56%4.59%6.81%10.40%16.04%3.05%20.76%
0.05%0.50%
10元
000267广发集利一年定开债A1.111004-19---0.54%1.54%2.75%4.46%6.79%11.09%17.52%3.32%90.02%
0.08%0.80%
10元
010353南方崇元纯债A1.171404-25-0.12%0.03%1.15%2.33%4.39%6.79%10.88%18.03%2.81%18.16%
0.05%0.50%
10元
164810工银纯债定开债1.034004-25-0.05%0.13%0.93%2.00%4.41%6.78%11.09%15.83%2.66%65.82%
0.08%0.80%
10元
000745北信瑞丰稳定收益C1.245004-25-0.08%0.08%0.89%1.80%4.62%6.78%11.86%19.71%2.38%58.18%
10元
007859平安5-10年期政策性金融债A1.086604-250.07%0.03%1.10%2.60%4.35%6.78%9.99%16.32%3.07%20.17%
0.03%0.30%
10元
010012景顺景颐招利6个月持有期债券C1.123104-250.10%-0.87%2.35%5.70%7.38%6.78%12.55%17.93%6.22%22.21%
10元
016659兴华安裕利率债C1.070504-25-0.03%0.08%1.49%3.59%5.96%6.78%------4.48%7.05%
10元
213007宝盈增强收益债券A/B1.368704-25-0.06%-0.36%1.27%3.24%6.20%6.77%11.85%14.50%3.96%148.00%
0.08%0.80%
10元
970024华安证券聚赢一年持有A1.201604-25-0.01%0.12%0.62%1.72%3.76%6.73%11.87%---2.16%20.10%
10元
519078汇添富增强收益债券A1.282404-25-0.03%0.11%1.21%2.78%5.42%6.72%8.37%10.53%3.62%100.67%
0.08%0.80%
10元
014005鑫元鸿利D1.098904-25-0.03%0.15%0.89%1.92%4.34%6.71%8.29%---2.58%9.24%
0.08%0.80%
10元
000694鑫元鸿利A1.099104-25-0.03%0.15%0.88%1.91%4.33%6.70%8.29%11.44%2.57%53.01%
0.06%0.60%
10元
003325东方永兴18个月定开债C1.269604-25-0.03%0.16%1.03%2.30%4.18%6.70%15.03%19.19%3.01%47.32%
10元
008645天弘季季兴三个月定开C1.087804-19---0.46%1.28%2.54%4.55%6.70%10.14%15.65%3.02%20.20%
10元
017046达诚腾益债券C1.066504-25-0.04%-0.11%0.86%2.86%4.99%6.69%------3.00%6.65%
10元
110017易方达增强回报债券A1.404004-250.00%-0.21%2.03%6.04%8.05%6.68%9.65%12.83%6.45%253.23%
0.08%0.80%
10元
008369蜂巢丰鑫一年定开1.183504-25-0.02%---0.63%1.61%3.77%6.68%12.11%20.10%2.12%18.35%
0.06%0.60%
10元
006061红土创新增强收益债券A1.388804-250.16%0.28%0.88%3.53%5.73%6.67%8.64%17.66%3.24%43.43%
0.08%0.80%
10元
014552中航瑞华ESG一年定开债发起A1.036604-19---0.30%0.76%2.17%3.87%6.66%9.24%---2.70%9.38%
0.06%0.60%
10元
007860平安5-10年期政策性金融债C1.174704-250.08%0.03%1.09%2.58%4.29%6.66%9.77%16.00%3.03%18.49%
10元
006970广发景利纯债1.021104-25-0.07%-0.24%0.67%2.82%4.79%6.63%10.15%15.42%3.60%21.96%
0.08%0.80%
10元
007008中邮纯债优选一年定开债A1.044304-19---0.30%1.04%2.16%3.92%6.61%9.72%16.14%2.42%23.37%
0.06%0.60%
10元
380005中银纯债债券A1.142004-25-0.02%0.07%0.95%2.22%4.32%6.59%9.29%13.03%2.74%64.78%
0.08%0.80%
10元
400030东方添益债券1.329004-25-0.08%0.20%1.06%2.05%4.51%6.59%10.55%18.15%2.86%60.88%
0.08%0.80%
10元
006064红土创新增强收益债券C1.382804-250.15%0.28%0.85%3.47%5.60%6.57%8.32%17.32%3.17%42.82%
10元
881012招商资管智远增利债券A1.097804-250.05%-0.07%0.51%3.44%5.58%6.53%10.82%---2.96%9.78%
0.06%0.60%
10元
970036华安证券睿赢一年持有债券A1.137704-250.01%0.10%0.71%2.08%4.26%6.52%12.51%---2.78%13.43%
10元
风险提示:收益率数据仅供参考,请以基金公司数据为准,过往业绩不预示未来表现。
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