• 活期寶
    7x24靈活取現(xiàn)
    最快1秒到賬
  • 關(guān)聯(lián)基金最高7日年化1.77% 充值
    快取單日限額最高超50萬元詳情
    2026-01-23
  • 指數(shù)寶
    看好的盤不錯過
  • 景順長城滬深30近1年 28.42%
    國泰納斯達(dá)克10近1年 12.91%
    2026-01-23
  • 熱門基金
    十元起輕松投資
  • 永贏科技智選混合近1年 214.50%
    永贏科技智選混合近1年 212.54%
    2026-01-23
基金公司篩選:
基金代碼基金名稱單位凈值|日期日增長率近3月近6月近1年近2年今年來封閉期買入開放日手續(xù)費|起購金額操作
005364華夏鼎順三個月定開債A1.037301-230.02%0.28%0.38%1.18%6.06%0.16%3個月12-26~01-26
0.08%0.80%
---
007213華安安平6個月定開債1.109801-230.03%0.37%0.45%1.15%3.70%0.03%6個月12-26~01-26
0.08%0.80%
10元
008503國壽安保泰瑞純債一年定開債1.008801-230.07%1.21%0.87%2.46%7.31%0.56%12個月12-26~01-26
0.08%0.80%
10元
005365華夏鼎順三個月定開債C---------------------3個月12-26~01-26
005469南方浙利定開債券1.030101-230.03%0.30%-0.12%0.41%4.82%0.27%3個月12-29~01-27
0.08%0.80%
---
008217國泰聚盈三年定期開放債券1.009701-230.01%0.71%1.41%2.65%5.57%0.05%3年12-30~01-28
0.06%0.60%
10元
016180寶盈聚鑫一年定期開放債券發(fā)起式1.074901-230.02%0.61%0.81%2.03%5.53%0.21%12個月12-30~01-28
0.06%0.60%
10元
005785創(chuàng)金合信匯譽(yù)六個月定開債C1.019201-230.05%0.86%0.94%2.01%5.95%0.31%6個月01-05~01-30
005745廣發(fā)匯康定期開放債券1.057001-230.05%0.71%0.53%1.25%6.67%0.33%6個月01-05~01-30
0.08%0.80%
10元
005784創(chuàng)金合信匯譽(yù)六個月定開債A1.022901-230.05%0.94%1.06%2.29%6.56%0.32%6個月01-05~01-30
0.08%0.80%
---
010099民生加銀匯智3個月定開債1.070901-230.07%-0.27%-1.58%-1.35%3.53%0.18%3個月01-05~01-30
0.08%0.80%
100元
013730方正富邦穩(wěn)恒3個月定開債1.031801-230.03%0.64%0.77%1.97%7.09%0.25%3個月01-05~01-30
0.03%0.30%
---
010165太平豐和一年定開債券發(fā)起式1.042701-230.08%2.39%2.69%5.61%11.64%1.49%12個月01-05~01-30
0.05%0.50%
10元
006108招商添利6個月定開債發(fā)起式C---------------------6個月01-06~02-02
006107招商添利6個月定開債發(fā)起式A1.020701-230.02%0.40%0.46%1.34%9.19%0.18%6個月01-06~02-02
0.08%0.80%
---
013703招商添福1年定開債1.011901-230.01%0.41%0.34%0.25%4.23%0.10%12個月01-07~02-03
0.03%0.30%
---
017311大成景寧一年定開債券1.005801-230.02%0.42%0.58%2.38%5.02%0.18%12個月01-07~02-03
0.06%0.60%
---
007836泰康潤和兩年定開債券1.023701-230.00%0.45%1.05%2.22%4.58%0.05%2年01-09~02-05
0.03%0.30%
10元
006988平安季添盈定開債E1.105901-230.00%1.15%1.11%2.37%5.73%1.00%3個月01-12~01-30
10元
006987平安季添盈定開債C1.111101-230.01%1.18%1.18%2.52%6.33%1.02%3個月01-12~01-30
500萬
006986平安季添盈定開債A1.115101-230.01%1.34%1.35%2.74%6.40%1.14%3個月01-12~01-30
0.03%0.30%
10元
004242興業(yè)穩(wěn)康三年定開債券1.029001-230.01%0.77%1.46%2.71%5.59%0.06%3年01-12~02-06
0.06%0.60%
10元
005485海富通恒豐定開債券1.054501-230.15%0.86%1.03%1.81%6.47%0.58%6個月01-12~02-06
0.04%0.40%
10元
013457華夏鼎業(yè)三個月定開債券A1.003001-230.02%0.44%0.49%1.35%4.68%0.19%3個月01-12~02-06
0.06%0.60%
---
013458華夏鼎業(yè)三個月定開債券C1.048701-230.02%0.40%0.44%1.24%4.48%0.17%3個月01-12~02-06
002964國投瑞銀順鑫定開1.042401-230.01%0.45%0.40%1.29%4.42%0.04%6個月01-12~02-06
0.08%0.80%
---
007513博時富豐3個月定開債1.061301-230.02%0.46%0.45%1.09%5.46%0.15%3個月01-14~01-27
0.08%0.80%
10元
005921農(nóng)銀匯理金鑫3個月定開債1.271001-230.06%0.86%0.73%1.61%7.71%0.46%3個月01-14~02-03
0.08%0.80%
---
004722中銀豐和定開債券1.115701-230.02%0.53%0.39%0.97%5.54%0.17%3個月01-14~02-10
0.08%0.80%
---
004882中銀豐榮定期開放債券1.165301-230.02%0.53%0.58%1.08%5.82%0.15%3個月01-14~02-10
0.08%0.80%
---
003832中銀豐潤定期開放債券1.100101-230.03%0.57%0.49%1.05%4.86%0.19%3個月01-14~02-10
0.08%0.80%
---
005740易方達(dá)恒信定期開放債券1.036101-230.02%0.31%0.38%0.92%5.01%0.11%3個月01-16~01-29
0.06%0.60%
---
006112易方達(dá)恒惠定開債1.100101-230.02%0.75%0.98%1.94%5.36%0.13%3個月01-16~01-29
0.06%0.60%
---
006838鑫元榮利三個月定開債1.017401-230.05%0.47%0.14%0.39%5.09%0.14%3個月01-16~01-29
0.06%0.60%
10元
013497易方達(dá)裕華利率債3個月定開債0.999001-230.08%0.18%-0.32%0.52%5.91%0.11%3個月01-16~01-29
0.06%0.60%
10元
004630平安合信定開債1.146401-230.03%0.68%0.62%1.58%5.61%0.30%3個月01-16~01-29
0.06%0.60%
10元
005432上銀聚鴻益三個月定開債1.031101-230.03%0.72%0.19%0.43%5.08%0.25%3個月01-16~02-05
0.08%0.80%
10元
009517人保福欣3個月定開債A1.057801-230.05%0.55%0.47%0.96%4.42%0.16%3個月01-16~02-05
0.03%0.30%
10元
009518人保福欣3個月定開債C1.053201-230.04%0.52%0.41%0.84%4.17%0.15%3個月01-16~02-05
10元
004123興銀長盈定開債A1.031401-230.03%0.29%-0.25%0.58%5.02%0.17%3個月01-16~02-12
0.03%0.30%
10元
005426光大尊豐純債定開債1.104201-230.02%0.34%-0.29%0.52%5.46%0.18%3個月01-16~02-12
0.08%0.80%
10元
018992興銀長盈定開債C1.030101-230.02%0.25%-0.31%0.50%3.91%0.15%3個月01-16~02-12
10元
008645天弘季季興三個月定開債券發(fā)起C1.127901-230.03%0.92%0.59%2.09%8.54%0.32%3個月01-19~01-27
10元
008644天弘季季興三個月定開債券發(fā)起A1.126701-230.03%0.94%0.64%2.19%8.77%0.33%3個月01-19~01-27
0.05%0.50%
10元
022537天弘季季興三個月定開債券發(fā)起E1.124101-230.03%0.88%0.53%1.98%---0.30%3個月01-19~01-27
10元
007425浙商匯金中高等級三個月A1.204501-230.29%3.08%3.68%5.37%9.62%2.30%3個月01-19~01-30
0.03%0.30%
10元
005377華安鼎瑞定開債發(fā)起式1.050701-230.06%0.50%0.17%0.67%5.80%0.33%6個月01-19~01-30
0.08%0.80%
1元
014105長城信利一年定開債券發(fā)起式1.041201-230.03%0.66%0.70%1.67%5.91%0.25%12個月01-19~01-30
0.08%0.80%
10元
007442浙商匯金中高等級三個月C1.183901-230.29%3.01%3.54%5.10%9.06%2.29%3個月01-19~01-30
10元
020557浙商匯金中高等級三個月D1.203801-230.28%3.07%3.78%5.48%9.76%2.30%3個月01-19~01-30
0.04%0.40%
10元
022356長盛元贏四個月定開債券1.161201-230.16%4.31%5.11%6.96%---2.34%4個月01-19~02-02
0.06%0.60%
10元
005398鵬揚(yáng)淳優(yōu)一年定期開放債1.038301-230.04%0.40%0.60%1.36%7.38%0.20%12個月01-19~02-06
0.04%0.40%
10元
003325東方永興18個月定開債C1.326801-230.01%0.49%0.35%1.76%7.05%0.23%18個月01-19~02-13
10元
008223交銀裕泰兩年定期開放債券1.028201-230.00%0.72%1.38%2.41%4.83%0.06%2年01-19~02-13
0.08%0.80%
10元
011954廣發(fā)匯榮三個月定開債券A1.040401-230.02%-0.07%-0.79%-0.39%5.08%0.11%3個月01-19~02-13
0.06%0.60%
10元
014969中信建投景潤3個月定開債C1.068601-230.04%0.61%0.51%0.89%4.40%0.33%3個月01-19~02-13
10元
014968中信建投景潤3個月定開債A1.077501-230.04%0.67%0.63%1.14%4.91%0.34%3個月01-19~02-13
0.04%0.40%
10元
016506太平綠色純債一年定開債發(fā)起1.076201-230.00%0.36%0.45%1.08%4.25%0.07%12個月01-19~02-13
0.05%0.50%
10元
003324東方永興18個月定開債A1.360401-230.01%0.59%0.55%2.16%7.92%0.25%18個月01-19~02-13
0.06%0.60%
10元
007545太平恒安三個月定開債1.062201-230.03%0.56%0.33%1.46%6.40%0.30%3個月01-19~02-13
0.05%0.50%
10元
020978廣發(fā)匯榮三個月定開債券C1.041301-230.02%-0.07%-0.79%-0.39%---0.11%3個月01-19~02-13
10元
005428渤海匯金匯添益3個月定開1.006101-230.03%0.54%0.24%1.25%5.10%0.26%3個月01-20~01-26
0.08%0.80%
10元
007420華安鼎信3個月定開債1.056701-230.03%0.54%0.14%1.34%5.69%0.21%3個月01-20~02-24
0.08%0.80%
1元
005590匯添富鑫永定開債A1.044001-230.02%0.61%0.55%0.74%5.08%0.22%3個月01-21~01-27
0.06%0.60%
---
005591匯添富鑫永定開債C------0.73%1.96%7.14%7.14%7.14%3個月01-21~01-27
012273富國匯鑫金融債三個月定開債A1.014201-230.06%0.43%0.19%0.77%7.02%0.24%3個月01-21~01-27
0.05%0.50%
---
270043廣發(fā)理財年年紅債券A1.059601-230.00%0.93%1.19%1.69%4.79%0.24%12個月01-21~02-12
0.035%0.35%
10元
020200廣發(fā)理財年年紅債券C1.056501-230.01%0.91%1.13%1.55%4.49%0.24%12個月01-21~02-12
10元
519138海富通瑞祥一年定開債券1.256501-230.02%0.81%0.50%2.00%7.49%0.30%12個月01-21~02-25
0.04%0.40%
10元
013953工銀瑞和3個月定開債券C1.095501-230.10%0.96%0.19%-0.29%6.73%0.25%3個月01-21~02-25
10元
013952工銀瑞和3個月定開債券A1.102601-230.10%1.03%0.32%-0.05%7.28%0.26%3個月01-21~02-25
0.04%0.40%
10元
013206廣發(fā)匯宜一年定期開放債券A1.015001-230.03%0.60%0.14%0.81%7.05%0.23%12個月01-21~02-25
0.06%0.60%
10元
022889廣發(fā)匯宜一年定期開放債券C1.012801-230.03%0.52%-0.01%0.51%---0.22%12個月01-21~02-25
10元
013743泰信匯利三個月定開債券A1.106001-230.02%0.37%-0.15%1.27%5.97%0.01%3個月01-22~02-26
0.03%0.30%
10元
013744泰信匯利三個月定開債券C1.090801-230.03%0.35%-0.19%1.17%5.66%0.00%3個月01-22~02-26
10元
007958華泰柏瑞益通三個月定開債1.055801-230.02%0.38%0.51%1.27%6.27%0.09%3個月01-22~02-26
0.08%0.80%
---
005895平安合豐定開債1.098401-230.03%0.55%0.64%1.46%5.90%0.18%3個月01-23~01-29
0.08%0.80%
10元
015474工銀瑞恒3個月定開債券C1.105801-230.03%0.92%0.49%1.57%7.09%0.35%3個月01-23~01-29
10元
015473工銀瑞恒3個月定開債券A1.116601-230.04%0.99%0.62%1.82%7.63%0.38%3個月01-23~01-29
0.04%0.40%
10元
004122興銀長益三個月定開債1.044801-230.03%0.62%0.67%1.64%5.90%0.28%3個月01-23~02-05
0.03%0.30%
10元
006949前海開源乾利定期開放債券1.015001-230.02%0.29%0.50%1.54%4.29%0.12%3個月01-23~02-05
0.08%0.80%
---
007517博時富淳3個月定開債1.016901-230.04%0.35%0.14%0.45%5.18%0.08%3個月01-23~02-05
0.08%0.80%
10元
100073富國強(qiáng)回報定開債C1.758101-230.03%0.79%0.38%1.49%6.13%0.46%2年01-26~01-26
10元
017671浦銀安盛普旭3個月定開債券1.041601-230.03%0.37%0.25%0.73%6.60%0.14%3個月01-26~01-26
0.80%0.80%
---
100072富國強(qiáng)回報定開債A/B1.860501-230.04%0.89%0.58%1.89%6.99%0.48%2年01-26~01-26
0.08%0.80%
10元
004797國壽安保安盛純債3個月定開債1.053301-230.03%0.63%0.75%1.77%6.27%0.20%3個月01-26~01-27
0.08%0.80%
10元
002869融通通裕定開債1.133301-230.02%0.65%0.82%1.96%6.45%0.27%3個月01-26~01-30
0.08%0.80%
---
004980華夏鼎諾三個月定開債C1.107501-230.03%0.37%0.59%1.54%6.85%0.18%3個月01-26~01-30
004979華夏鼎諾三個月定開債A1.102701-230.03%0.40%0.65%1.64%7.05%0.18%3個月01-26~01-30
0.08%0.80%
---
007710格林泓泰三個月定開債A1.009401-23---0.02%-1.04%-0.21%3.71%0.49%3個月01-26~01-30
0.08%0.80%
---
007489萬家民安增利12個月定開債C1.014701-230.02%0.72%0.93%1.30%3.00%0.54%12個月01-26~01-30
007711格林泓泰三個月定開債C1.008201-23----0.01%-1.10%-0.33%3.49%0.48%3個月01-26~01-30
007488萬家民安增利12個月定開債A1.019801-230.03%0.85%1.17%1.76%3.96%0.58%12個月01-26~01-30
0.045%0.45%
---
016431中海豐盈三個月定期開放債券0.985501-230.05%-0.47%-2.06%-2.82%3.46%0.03%3個月01-26~01-30
0.03%0.30%
10元
005781華富富瑞3個月定開債1.046601-23---0.46%0.66%1.45%3.96%0.14%3個月01-26~02-06
0.06%0.60%
---
008031創(chuàng)金合信匯嘉三個月定開1.066201-230.03%0.70%0.97%1.75%6.93%0.28%3個月01-26~02-06
0.06%0.60%
---
000792招商定期寶六個月期理財債券1.007701-23---0.49%0.70%---1.53%0.22%6個月01-26~03-02
10元
007429鵬揚(yáng)淳盈6個月定開債A1.030101-230.05%1.03%1.04%2.35%8.32%0.52%6個月01-26~03-02
0.06%0.60%
---
008982華泰紫金智鑫3月定開債1.065801-230.05%0.52%0.12%0.33%5.96%0.10%3個月01-26~03-02
0.05%0.50%
---
007430鵬揚(yáng)淳盈6個月定開債C1.026601-230.05%0.92%0.82%1.93%7.44%0.49%6個月01-26~03-02
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