| 基金代码 | 基金简称 | 投资对象 | 单位净值 | 累计净值 | 交易日 | 日增长% | 周增长% | 月增长% | 季增长% | 年增长% |
| 002465 | 东兴众智 | 成长型—稳健成长型 | 0.892 | 0.892 | 20200522 | 0.791% | 3.963% | 3.121% | 3.241% | 3.121% |
| 009276 | 鹏华9-10年利率债C | 债券型 | 0.997 | 0.997 | 20200522 | 0.707% | 0.373% | -0.757% | -- | -0.300% |
| 007309 | 鹏华9-10年利率债A | 债券型 | | | 20200522 | 0.704% | 0.384% | -0.740% | 3.198% | 6.023% |
| 511310 | 富国10年国债ETF | 指数型 | 115.069 | | 20200522 | 0.639% | 0.600% | -0.560% | 2.535% | 5.278% |
| 008798 | 国金惠安A | 债券型 | | | 20200522 | 0.627% | 0.089% | -1.855% | -- | 1.070% |
| 008799 | 国金惠安C | 债券型 | | | 20200522 | 0.617% | 0.079% | -1.883% | -- | 1.070% |
| 007228 | 华安中债7-10年A | 指数型 | | | 20200522 | 0.573% | 0.305% | -1.040% | 0.752% | 1.334% |
| 160123 | 南方10年国债A | 指数型 | | | 20200522 | 0.566% | 0.469% | -0.640% | 2.358% | 4.433% |
| 007492 | 上银政策 | 债券型 | | | 20200522 | 0.564% | 0.310% | -0.701% | 2.651% | 3.338% |
| 160124 | 南方10年国债C | 指数型 | | | 20200522 | 0.563% | 0.454% | -0.670% | 2.266% | 4.293% |
| 001919 | 圆信兴利C | 债券型 | | | 20200522 | 0.529% | 0.264% | -0.870% | 0.176% | 1.514% |
| 511260 | 国泰10年国债ETF | 指数型 | 113.459 | | 20200522 | 0.518% | 0.466% | -0.654% | 2.219% | 4.504% |
| 006962 | 南方中债7-10年C | 指数型 | | | 20200522 | 0.516% | 0.230% | -1.124% | 2.259% | 4.943% |
| 519675 | 银河泰利A | 债券型 | | | 20200522 | 0.510% | -0.089% | -1.334% | 2.405% | 4.479% |
| 006961 | 南方中债7-10年A | 指数型 | | | 20200522 | 0.506% | 0.229% | -1.122% | 2.284% | 4.987% |
| 000187 | 华泰丰盛A | 债券型 | | | 20200522 | 0.501% | 1.085% | 0.478% | 2.403% | 4.713% |
| 003376 | 广发中债A | 指数型 | | | 20200522 | 0.500% | 0.227% | -1.061% | 2.475% | 4.875% |
| 006433 | 平安鑫利C | 成长型—稳健成长型 | | | 20200522 | 0.499% | 1.908% | 2.632% | -3.869% | -1.630% |
| 003358 | 易方达中债 | 指数型 | | | 20200522 | 0.498% | 0.213% | -1.199% | 2.580% | 5.198% |
| 000188 | 华泰丰盛C | 债券型 | | | 20200522 | 0.498% | 1.072% | 0.450% | 2.299% | 4.544% |
| 003626 | 平安鑫利A | 成长型—稳健成长型 | | | 20200522 | 0.497% | 1.902% | 2.633% | -3.849% | -1.607% |
| 501105 | 建信8-10年 | 指数型 | | | 20200522 | 0.497% | 0.289% | -0.946% | 2.128% | 4.402% |
| 008711 | 宝盈盈顺C | 债券型 | 0.999 | 0.999 | 20200522 | 0.493% | 0.453% | 0.150% | 0.010% | -0.120% |
| 008710 | 宝盈盈顺A | 债券型 | 1.000 | 1.000 | 20200522 | 0.493% | 0.452% | 0.160% | 0.070% | -0.040% |
| 003377 | 广发中债C | 指数型 | | | 20200522 | 0.489% | 0.222% | -1.085% | 2.382% | 4.735% |
| 003988 | 银华10年金融债C | 指数型 | | | 20200522 | 0.488% | 0.197% | -0.837% | 2.392% | 5.118% |
| 003987 | 银华10年金融债A | 指数型 | | | 20200522 | 0.485% | 0.204% | -0.815% | 2.455% | 5.192% |
| 000345 | 鹏华丰融 | 债券型 | | | 20200522 | 0.485% | 0.485% | 0.852% | 2.917% | 4.474% |
| 511020 | 平安5-10年国债ETF | 指数型 | 106.950 | | 20200522 | 0.485% | 0.140% | -0.799% | 2.856% | 4.785% |
| 008678 | 财通兴利 | 债券型 | | | 20200522 | 0.479% | 0.479% | -0.651% | 0.389% | 0.700% |
| 008054 | 汇添富中债7-10年A | 指数型 | | | 20200522 | 0.476% | 0.119% | -1.103% | 1.107% | 1.360% |
| 007229 | 华安中债7-10年C | 指数型 | | | 20200522 | 0.470% | 0.195% | -1.144% | 0.631% | 1.198% |
| 008055 | 汇添富中债7-10年C | 指数型 | | | 20200522 | 0.466% | 0.109% | -1.113% | 1.077% | 1.320% |
| 159926 | 嘉实国债ETF | 指数型 | 118.016 | | 20200522 | 0.464% | -0.249% | -1.061% | 2.861% | 3.907% |
| 000088 | 嘉实中证ETF联接C | 指数型 | | | 20200522 | 0.449% | -0.279% | -1.096% | 1.139% | 1.830% |
| 000087 | 嘉实中证ETF联接A | 指数型 | | | 20200522 | 0.447% | -0.268% | -1.082% | 1.211% | 1.947% |
| 001918 | 圆信兴利A | 债券型 | | | 20200522 | 0.446% | 0.178% | -0.881% | 0.089% | 1.443% |
| 004085 | 工银中债-国债A | 指数型 | | | 20200522 | 0.412% | 0.349% | -0.691% | 1.864% | 3.808% |
| 004086 | 工银中债-国债C | 指数型 | | | 20200522 | 0.403% | 0.350% | -0.718% | 1.828% | 3.762% |
| 511010 | 国泰国债ETF | 指数型 | 124.854 | | 20200522 | 0.397% | -0.261% | -0.895% | 3.012% | 4.284% |
| 001021 | 华夏亚债A | 指数型 | | | 20200522 | 0.397% | 0.158% | -0.861% | 2.048% | 4.061% |
| 050128 | 博时安心C | 债券型 | | | 20200522 | 0.396% | 0.396% | -0.784% | 2.427% | 3.367% |
| 007088 | 民生恒裕 | 债券型 | | | 20200522 | 0.380% | -0.145% | -0.771% | 1.268% | 2.173% |
| 511290 | 广发10年国债ETF | 指数型 | 108.859 | | 20200522 | 0.364% | 0.412% | -0.782% | 1.290% | 2.980% |
| 003922 | 长盛盛康A | 债券型 | | | 20200522 | 0.355% | -0.075% | -0.979% | 2.807% | 3.940% |
| 007371 | 国联安增瑞A | 债券型 | | | 20200522 | 0.354% | -0.038% | -0.915% | 2.926% | 4.136% |
| 007372 | 国联安增瑞C | 债券型 | | | 20200522 | 0.351% | -0.044% | -0.919% | 2.911% | 4.109% |
| 003923 | 长盛盛康C | 债券型 | | | 20200522 | 0.348% | -0.075% | -0.992% | 2.765% | 3.884% |
| 003990 | 银华5年金融债C | 指数型 | | | 20200522 | 0.343% | -0.216% | -0.867% | 3.037% | 4.589% |
| 007677 | 蜂巢添汇C | 债券型 | | | 20200522 | 0.342% | 0.127% | -0.898% | 2.289% | 3.320% |
| 基金代码 | 基金简称 | 投资对象 | 单位净值 | 累计净值 | 交易日 | 日增长% | 周增长% | 月增长% | 季增长% | 年增长% |
| 007676 | 蜂巢添汇A | 债券型 | | | 20200522 | 0.342% | 0.127% | -0.888% | 2.318% | 3.358% |
| 005574 | 东吴悦秀C | 债券型 | | | 20200522 | 0.341% | -0.104% | -1.259% | -0.019% | 0.761% |
| 005573 | 东吴悦秀A | 债券型 | | | 20200522 | 0.341% | -0.104% | -1.248% | 0.000 | 0.789% |
| 003989 | 银华5年金融债A | 指数型 | | | 20200522 | 0.341% | -0.212% | -0.850% | 3.097% | 4.671% |
| 004792 | 富荣富乾A | 债券型 | | | 20200522 | 0.339% | 0.242% | -0.336% | 1.467% | 2.561% |
| 006771 | 永赢合益 | 债券型 | | | 20200522 | 0.335% | -0.190% | -0.785% | 3.350% | 5.009% |
| 003103 | 长盛盛裕C | 债券型 | | | 20200522 | 0.328% | -0.149% | -0.680% | 0.169% | 1.357% |
| 001023 | 华夏亚债C | 指数型 | | | 20200522 | 0.328% | 0.082% | -0.972% | 1.814% | 3.807% |
| 007081 | 建信中债5-10年C | 指数型 | | | 20200522 | 0.328% | -0.115% | -1.524% | 2.740% | 4.802% |
| 003102 | 长盛盛裕A | 债券型 | | | 20200522 | 0.328% | -0.148% | -0.679% | 0.218% | 1.497% |
| 007080 | 建信中债5-10年A | 指数型 | | | 20200522 | 0.328% | -0.115% | -1.561% | 2.719% | 4.800% |
| 004366 | 博时汇享A | 债券型 | | | 20200522 | 0.326% | 0.000 | -0.371% | 2.614% | 4.025% |
| 007323 | 永赢久利 | 债券型 | | | 20200522 | 0.325% | -0.098% | -1.038% | 1.288% | 2.226% |
| 006509 | 国联安增盈A | 债券型 | | | 20200522 | 0.321% | 0.000 | -0.848% | 2.180% | 3.724% |
| 003703 | 博时富鑫 | 债券型 | | | 20200522 | 0.317% | -0.009% | -0.407% | 2.571% | 4.017% |
| 004793 | 富荣富乾C | 债券型 | | | 20200522 | 0.317% | 0.158% | -0.550% | 0.666% | 1.321% |
| 004367 | 博时汇享C | 债券型 | | | 20200522 | 0.317% | -0.019% | -0.409% | 2.498% | 3.847% |
| 006452 | 华富恒定C | 指数型 | | | 20200522 | 0.316% | 0.019% | -0.898% | 2.217% | 3.955% |
| 006451 | 华富恒定A | 指数型 | | | 20200522 | 0.315% | 0.029% | -0.887% | 2.243% | 4.010% |
| 003260 | 博时利发 | 债券型 | | | 20200522 | 0.312% | -0.028% | -0.441% | 2.633% | 4.042% |
| 006510 | 国联安增盈C | 债券型 | | | 20200522 | 0.311% | 0.000 | -0.913% | 2.094% | 3.646% |
| 006849 | 博时中债5-10年C | 指数型 | | | 20200522 | 0.307% | 0.019% | -1.292% | 2.162% | 4.096% |
| 006848 | 博时中债5-10年A | 指数型 | | | 20200522 | 0.307% | 0.019% | -1.282% | 2.200% | 4.145% |
| 003023 | 博时景发 | 债券型 | | | 20200522 | 0.301% | -0.056% | -0.466% | 2.702% | 4.155% |
| 003564 | 博时安诚A | 债券型 | | | 20200522 | 0.297% | 0.099% | -0.492% | 0.845% | 1.527% |
| 164210 | 天弘同利C | 债券型 | | | 20200522 | 0.296% | 0.000 | -0.410% | 3.172% | 5.230% |
| 009050 | 易方达恒裕 | 债券型 | | | 20200522 | 0.296% | 0.296% | -0.186% | -- | 1.750% |
| 050028 | 博时安心A | 债券型 | | | 20200522 | 0.296% | 0.296% | -0.876% | 2.518% | 3.455% |
| 006178 | 中信保诚稳达C | 债券型 | | | 20200522 | 0.295% | 0.029% | -0.950% | 2.392% | 3.420% |
| 006082 | 鑫元全利A | 债券型 | | | 20200522 | 0.294% | 0.142% | -0.480% | 0.542% | 2.370% |
| 004637 | 华夏鼎兴A | 债券型 | | | 20200522 | 0.285% | 0.187% | -0.865% | 1.307% | 2.994% |
| 006177 | 中信保诚稳达A | 债券型 | | | 20200522 | 0.285% | 0.019% | -0.955% | 2.397% | 6.905% |
| 000137 | 民生岁岁增利A | 债券型 | | | 20200522 | 0.284% | 0.117% | -0.621% | 2.422% | 4.399% |
| 007187 | 华夏3-5年金融债C | 指数型 | | | 20200522 | 0.283% | -0.194% | -0.763% | 2.496% | 3.710% |
| 007186 | 华夏3-5年金融债A | 指数型 | | | 20200522 | 0.283% | -0.194% | -0.763% | 2.516% | 3.740% |
| 004089 | 汇添富鑫瑞A | 债券型 | | | 20200522 | 0.281% | 0.028% | -0.612% | 1.950% | 2.771% |
| 000138 | 民生岁岁增利C | 债券型 | | | 20200522 | 0.280% | 0.102% | -0.647% | 2.318% | 4.238% |
| 006760 | 国金惠盈C | 债券型 | | | 20200522 | 0.276% | 0.129% | -1.214% | 1.385% | 4.775% |
| 004090 | 汇添富鑫瑞C | 债券型 | | | 20200522 | 0.275% | 0.018% | -0.636% | 1.881% | 2.656% |
| 002487 | 汇添富稳健A | 债券型 | | | 20200522 | 0.274% | 0.091% | -0.182% | 0.920% | 1.386% |
| 002569 | 博时裕弘 | 债券型 | | | 20200522 | 0.274% | 0.091% | -0.362% | 2.871% | 4.291% |
| 007486 | 博时3-5年国开行C | 指数型 | | | 20200522 | 0.271% | -0.096% | -0.537% | 2.847% | 4.124% |
| 007485 | 博时3-5年国开行A | 指数型 | | | 20200522 | 0.271% | -0.106% | -0.527% | 2.876% | 4.174% |
| 006935 | 平安3-5年金融债C | 债券型 | | | 20200522 | 0.269% | -0.105% | -0.496% | 2.671% | 3.975% |
| 006934 | 平安3-5年金融债A | 债券型 | | | 20200522 | 0.269% | -0.105% | -0.495% | 2.650% | 3.962% |
| 006727 | 博时中债3-5年A | 指数型 | | | 20200522 | 0.268% | -0.248% | -0.739% | 2.800% | 4.055% |
| 006549 | 国金惠盈A | 债券型 | | | 20200522 | 0.266% | 0.128% | -1.210% | 1.437% | 4.867% |
| 003643 | 工银国债C | 债券型 | | | 20200522 | 0.263% | 0.190% | -0.611% | 1.767% | 3.365% |
| 003342 | 工银国债A | 债券型 | | | 20200522 | 0.261% | 0.198% | -0.608% | 1.784% | 3.402% |
| 006728 | 博时中债3-5年C | 指数型 | | | 20200522 | 0.259% | -0.248% | -0.749% | 2.781% | 4.015% |
| 基金代码 | 基金简称 | 投资对象 | 单位净值 | 累计净值 | 交易日 | 日增长% | 周增长% | 月增长% | 季增长% | 年增长% |
| 006507 | 前海裕泽 | 成长型—稳健成长型 | | | 20200521 | 0.257% | 0.257% | 0.368% | -2.841% | 0.701% |
| 003327 | 万家鑫�A | 债券型 | | | 20200522 | 0.256% | 0.222% | 0.230% | 2.693% | 4.717% |
| 007185 | 蜂巢添鑫C | 债券型 | | | 20200522 | 0.255% | -0.039% | -0.901% | 2.360% | 3.344% |
| 007184 | 蜂巢添鑫A | 债券型 | | | 20200522 | 0.255% | -0.029% | -0.891% | 2.370% | 3.354% |
| 007877 | 惠升和风A | 债券型 | | | 20200522 | 0.253% | -0.087% | -0.704% | 2.233% | 3.523% |
| 007878 | 惠升和风C | 债券型 | | | 20200522 | 0.251% | -0.087% | -0.708% | 2.175% | 4.368% |
| 000911 | 鑫元合丰A | 债券型 | | | 20200522 | 0.251% | 0.051% | -0.644% | 1.969% | 3.081% |
| 007158 | 平安合盛 | 债券型 | | | 20200522 | 0.251% | -0.096% | -0.867% | 2.778% | 3.848% |
| 003328 | 万家鑫�C | 债券型 | | | 20200522 | 0.249% | 0.223% | 0.214% | 2.642% | 4.626% |
| 007218 | 蜂巢添幂A | 债券型 | | | 20200522 | 0.247% | 0.114% | -0.668% | 3.043% | 4.314% |
| 001512 | 易方达国债 | 指数型 | | | 20200522 | 0.246% | -0.245% | -0.731% | 2.949% | 4.000% |
| 008493 | 鹏华尊泰 | 债券型 | | | 20200522 | 0.245% | 0.245% | 0.088% | 1.409% | 2.180% |
| 000910 | 鑫元合丰C | 债券型 | | | 20200522 | 0.242% | 0.042% | -0.655% | 1.945% | 3.039% |
| 003657 | 民生鑫元C | 债券型 | | | 20200522 | 0.242% | -0.043% | -1.318% | 1.923% | 3.532% |
| 007219 | 蜂巢添幂C | 债券型 | | | 20200522 | 0.238% | 0.104% | -0.706% | 2.989% | 4.210% |
| 002928 | 长盛盛和C | 债券型 | | | 20200522 | 0.237% | 0.108% | -0.616% | 1.710% | 3.060% |
| 002927 | 长盛盛和A | 债券型 | | | 20200522 | 0.236% | 0.108% | -0.595% | 1.807% | 3.218% |
| 000606 | 天弘优选 | 债券型 | | | 20200522 | 0.234% | -0.065% | -0.686% | 2.173% | 3.607% |
| 008015 | 嘉实中债3-5年A | 指数型 | | | 20200522 | 0.234% | -0.097% | -0.628% | 2.699% | 3.778% |
| 002812 | 博时裕通C | 债券型 | | | 20200522 | 0.234% | -0.112% | -0.769% | 2.556% | 3.788% |
| 006191 | 华夏鼎通A | 债券型 | | | 20200522 | 0.234% | 0.087% | -0.685% | 2.274% | 4.378% |
| 003656 | 民生鑫元A | 债券型 | | | 20200522 | 0.232% | -0.043% | -1.302% | 2.019% | 3.687% |
| 009083 | 华夏鼎佳C | 债券型 | | | 20200522 | 0.232% | 0.028% | 0.169% | -- | 42.690% |
| 004230 | 永赢添益 | 债券型 | | | 20200522 | 0.232% | -0.089% | -0.732% | 2.908% | 4.534% |
| 006411 | 中加颐智 | 债券型 | | | 20200522 | 0.231% | -0.010% | -0.783% | 2.355% | 3.191% |
| 005497 | 鑫元永利 | 债券型 | | | 20200522 | 0.231% | 0.135% | -0.278% | 0.949% | 1.777% |
| 003748 | 万家鑫享C | 债券型 | | | 20200522 | 0.231% | 0.018% | -0.247% | 2.739% | 4.305% |
| 005346 | 长安泓润C | 债券型 | | | 20200522 | 0.231% | -0.080% | -0.633% | 2.775% | 3.957% |
| 009082 | 华夏鼎佳A | 债券型 | | | 20200522 | 0.230% | 0.040% | 0.180% | -- | 0.110% |
| 003650 | 融通通润 | 债券型 | | | 20200522 | 0.230% | 0.086% | -0.532% | 1.734% | 2.945% |
| 005345 | 长安泓润A | 债券型 | | | 20200522 | 0.230% | -0.071% | -0.622% | 2.829% | 4.046% |
| 006027 | 国投顺祥 | 债券型 | | | 20200522 | 0.230% | 0.048% | -0.664% | 2.638% | 4.545% |
| 007503 | 上投瑞利A | 债券型 | | | 20200522 | 0.229% | -0.199% | -0.849% | 2.426% | 3.525% |
| 004831 | 汇添富鑫泽A | 债券型 | | | 20200522 | 0.228% | 0.146% | -0.535% | 1.686% | 3.023% |
| 004042 | 华夏鼎茂A | 债券型 | | | 20200522 | 0.228% | 0.079% | -0.366% | 1.808% | 3.326% |
| 003607 | 博时富益 | 债券型 | | | 20200522 | 0.228% | 0.095% | -0.686% | 1.930% | 3.468% |
| 004043 | 华夏鼎茂C | 债券型 | | | 20200522 | 0.227% | 0.079% | -0.365% | 1.783% | 3.285% |
| 000815 | 鑫元合享A | 债券型 | | | 20200522 | 0.227% | -0.028% | -0.739% | 2.285% | 3.452% |
| 006185 | 格林泓鑫C | 债券型 | | | 20200522 | 0.226% | 0.123% | -0.515% | 1.870% | 3.761% |
| 000694 | 鑫元鸿利 | 债券型 | | | 20200522 | 0.226% | 0.166% | -0.293% | 0.926% | 2.018% |
| 006192 | 华夏鼎通C | 债券型 | | | 20200522 | 0.224% | 0.075% | -0.722% | 2.163% | 4.199% |
| 008016 | 嘉实中债3-5年C | 指数型 | | | 20200522 | 0.224% | -0.107% | -0.647% | 2.680% | 3.747% |
| 007963 | 博时3-5年金融债C | 指数型 | | | 20200522 | 0.223% | -0.184% | -0.645% | 2.730% | 4.002% |
| 002716 | 博时裕通A | 债券型 | | | 20200522 | 0.223% | -0.111% | -0.764% | 2.560% | 3.815% |
| 005553 | 国富新趋势C | 成长型—稳健成长型 | | | 20200522 | 0.222% | -0.009% | -0.724% | 1.651% | 2.633% |
| 006761 | 银河家盈 | 债券型 | | | 20200522 | 0.222% | -0.119% | -0.945% | 2.648% | 3.612% |
| 003747 | 万家鑫享A | 债券型 | | | 20200522 | 0.222% | 0.018% | -0.229% | 2.771% | 3.952% |
| 000355 | 南方丰元A | 债券型 | | | 20200522 | 0.221% | 0.107% | -0.606% | 2.020% | 4.789% |
| 003796 | 方正睿利C | 债券型 | | | 20200522 | 0.219% | -0.038% | -0.492% | 2.467% | 3.957% |
| 007504 | 上投瑞利C | 债券型 | | | 20200522 | 0.219% | -0.209% | -0.859% | 2.388% | 3.467% |
| 基金代码 | 基金简称 | 投资对象 | 单位净值 | 累计净值 | 交易日 | 日增长% | 周增长% | 月增长% | 季增长% | 年增长% |
| 003795 | 方正睿利A | 债券型 | | | 20200522 | 0.219% | -0.038% | -0.481% | 2.518% | 4.045% |
| 000814 | 鑫元合享C | 债券型 | | | 20200522 | 0.218% | -0.038% | -0.750% | 2.249% | 3.407% |
| 007702 | 国联安6月债C | 债券型 | | | 20200305 | 0.217% | 0.217% | 0.217% | 1.107% | 0.976% |
| 005054 | 泰康瑞坤 | 债券型 | | | 20200522 | 0.217% | 0.090% | -0.708% | 1.262% | 2.623% |
| 007701 | 国联安6月债A | 债券型 | | | 20200305 | 0.217% | 0.217% | 0.217% | 1.166% | 1.015% |
| 006184 | 格林泓鑫A | 债券型 | | | 20200522 | 0.217% | 0.122% | -0.505% | 1.896% | 3.805% |
| 007036 | 前海联合永兴C | 债券型 | | | 20200522 | 0.216% | -0.131% | -0.763% | 2.554% | 3.806% |
| 003928 | 前海联合永兴A | 债券型 | | | 20200522 | 0.215% | -0.130% | -0.754% | 2.574% | 3.850% |
| 006747 | 东海祥利 | 债券型 | | | 20200522 | 0.215% | 0.176% | -0.524% | 1.103% | 1.263% |
| 008567 | 蜂巢添盈C | 债券型 | | | 20200522 | 0.214% | 0.136% | -0.714% | 2.705% | 2.890% |
| 008566 | 蜂巢添盈A | 债券型 | | | 20200522 | 0.214% | 0.146% | -0.675% | 2.765% | 2.950% |
| 007962 | 博时3-5年金融债A | 指数型 | | | 20200522 | 0.213% | -0.184% | -0.644% | 2.760% | 4.053% |
| 007093 | 鑫元中债3-5年C | 指数型 | | | 20200522 | 0.213% | -0.154% | -0.794% | 2.389% | 3.297% |
| 007092 | 鑫元中债3-5年A | 指数型 | | | 20200522 | 0.212% | -0.144% | -0.784% | 2.417% | 3.335% |
| 005552 | 国富新趋势A | 成长型—稳健成长型 | | | 20200522 | 0.212% | -0.018% | -0.722% | 1.684% | 2.693% |
| 007078 | 工银中债3-5年A | 指数型 | | | 20200522 | 0.211% | -0.124% | -0.637% | 2.874% | 4.155% |
| 007711 | 格林泓泰C | 债券型 | | | 20200522 | 0.211% | 0.010% | -0.372% | 3.348% | 4.577% |
| 000356 | 南方丰元C | 债券型 | | | 20200522 | 0.211% | 0.094% | -0.650% | 1.872% | 4.609% |
| 004400 | 金信民兴A | 债券型 | | | 20200522 | 0.210% | 0.081% | -0.644% | 0.848% | 2.096% |
| 008539 | 工银开元A | 债券型 | | | 20200522 | 0.210% | 0.210% | -0.525% | -- | 0.440% |
| 000186 | 华泰季季红 | 债券型 | | | 20200522 | 0.208% | 0.142% | -0.441% | 1.731% | 3.746% |
| 006979 | 泰康安欣C | 债券型 | | | 20200522 | 0.207% | -0.047% | -0.664% | 1.370% | 2.165% |
| 006978 | 泰康安欣A | 债券型 | | | 20200522 | 0.207% | -0.037% | -0.644% | 1.428% | 2.243% |
| 002275 | 中邮聚利C | 债券型 | | | 20200522 | 0.206% | -0.187% | -0.763% | -- | 2.607% |
| 007052 | 招商中债3-5年C | 指数型 | | | 20200522 | 0.205% | -0.124% | -0.613% | 2.672% | 3.842% |
| 007051 | 招商中债3-5年A | 指数型 | | | 20200522 | 0.205% | -0.114% | -0.575% | 2.731% | 3.922% |
| 004401 | 金信民兴C | 债券型 | | | 20200522 | 0.205% | 0.066% | -0.675% | 0.767% | 1.961% |
| 002274 | 中邮聚利A | 债券型 | | | 20200522 | 0.204% | -0.195% | -0.748% | -- | 2.656% |
| 166902 | 民生增利A | 债券型 | | | 20200522 | 0.203% | 0.058% | -0.356% | 1.986% | 2.243% |
| 007764 | 前海中债3-5年C | 指数型 | | | 20200522 | 0.203% | -0.106% | -0.727% | 2.790% | 4.022% |
| 007763 | 前海中债3-5年A | 指数型 | | | 20200522 | 0.203% | -0.106% | -0.718% | 2.830% | 4.073% |
| 004603 | 前海润和C | 债券型 | | | 20200522 | 0.202% | -0.088% | -0.891% | 2.428% | 4.214% |
| 006213 | 东方臻选C | 债券型 | | | 20200522 | 0.202% | 0.105% | -0.253% | 2.342% | 4.316% |
| 007710 | 格林泓泰A | 债券型 | | | 20200522 | 0.202% | 0.000 | -0.373% | 3.355% | 4.588% |
| 007079 | 工银中债3-5年C | 指数型 | | | 20200522 | 0.202% | -0.124% | -0.647% | 2.845% | 4.106% |
| 008784 | 南方乐元C | 债券型 | 0.998 | 0.998 | 20200522 | 0.201% | -0.130% | -0.618% | -- | -0.220% |
| 008783 | 南方乐元A | 债券型 | 0.999 | 0.999 | 20200522 | 0.201% | -0.120% | -0.587% | -- | -0.150% |
| 008540 | 工银开元C | 债券型 | | | 20200522 | 0.200% | 0.200% | -0.555% | -- | 0.350% |
| 003565 | 博时安诚C | 债券型 | | | 20200522 | 0.198% | 0.099% | -0.492% | 0.656% | 1.340% |
| 006892 | 新华鼎利C | 债券型 | | | 20200522 | 0.198% | 0.123% | -0.141% | -3.846% | -1.629% |
| 006212 | 东方臻选A | 债券型 | | | 20200522 | 0.198% | 0.113% | -0.244% | 2.365% | 4.362% |
| 008951 | 鹏华尊裕 | 债券型 | | | 20200522 | 0.198% | 0.198% | 0.030% | -- | 1.450% |
| 004647 | 新华鼎利A | 债券型 | | | 20200522 | 0.197% | 0.122% | -0.122% | -3.761% | -1.486% |
| 004108 | 信诚稳泰A | 债券型 | | | 20200522 | 0.197% | -0.157% | -0.519% | 2.456% | 3.388% |
| 005791 | 华夏鼎福A | 债券型 | | | 20200522 | 0.197% | -0.147% | -0.867% | 1.999% | 3.127% |
| 004109 | 信诚稳泰C | 债券型 | | | 20200522 | 0.197% | -0.157% | -0.518% | 2.434% | 3.355% |
| 610103 | 信达稳定B | 债券型 | | | 20200522 | 0.197% | 0.098% | -0.585% | 0.493% | 1.494% |
| 003100 | 长盛盛景C | 债券型 | | | 20200522 | 0.195% | 0.136% | -0.513% | 1.854% | 3.214% |
| 003099 | 长盛盛景A | 债券型 | | | 20200522 | 0.195% | 0.146% | -0.493% | 1.911% | 3.313% |
| 004556 | 南方和元C | 债券型 | | | 20200522 | 0.195% | 0.000 | -0.387% | 1.678% | 2.883% |
搞钱啊 因为富时A50并不是在国内交易所上市的,所以如果用户要开户的话基本都是找经纪商进行开户,另外由于富时中国A50股指期货是杠杆交易的,所以整体上门槛并不高。
富时中国A50期货的开户程是非常简单的,跟在国内开户证券账户基本没什么区别,用户准备好个人资料,比如身份证件,手机号,然后按照经纪商的要求填写个人信息完成风险测试就可以了,等资料审核通过后基就可以进行正常富时中国A50指数的交易了。
最后再提醒一下,由于富时中国A50指数期货是在新加坡上市的,所以如果要交易的话最好是找一个靠谱的经纪商,不然极有可能遇到光看到账户里有数字就是不给你提现的尴尬。
聪明的金Sir 场外基金是按交易场所的不同,基金可以分为场内基金和场外基金两种。
场内基金是指像股票一样可以在证券交易所上市交易的证券投资基金。常见的场内基金有封闭式基金、上市型开放式基金 (LOF)、交易型开放式基金 (ETF) 和分级基金等。场内基金有一级市场申购赎回和二级市场交易两种投资方式。
场内基金的二级市场交易方式和股票一样,以市场报价进行竞价交易。比如中概互联ETF的代码是513050。虽然是用股票账户买,但它依然是基金,不是股票。
场内交易的优点是交易费率低,只要0.01%,并且可以实时交易,定投起来很方便。
场内交易的缺点是以“手”为单位交易,1手为100份额。
场外基金是指不在证券交易所上市交易,在银行、 证券公司、第三方理财平台或基金公司直销平台交易的基金。目前,大多数基金都是场外基金。
比如中概互联的场外基金是:易方达中证海外中国互联网50ETF联接(006327)
所谓的ETF联接,意思就是这只基金的目的,就是跟踪中概互联ETF的表现,所以场内和场外的涨跌幅是基本一致的。
场外交易的优点是买入金额没太大限制,100元、150元,200元都能买。
干瘪的嘴的饼干 

