排名 |
基金简称 |
基金规模(亿元) |
总份额(万份) |
季度净申购(万份) |
季度总申购(万份) |
季度总赎回(万份) |
1 |
华宝添益 |
83499.21 |
8349921.41 |
-871950.52 |
2376334.68 |
3248285.20 |
2 |
天弘余额宝货币 |
7495.57 |
74955651.00 |
4730336.33 |
130463936.32 |
125733599.99 |
3 |
易方达易理财货币A |
2613.67 |
26136666.28 |
1328517.56 |
81784016.98 |
80455499.43 |
4 |
南方现金通E |
2298.68 |
22986801.99 |
1982177.19 |
101470193.27 |
99488016.08 |
5 |
富国富钱包货币A |
2140.33 |
21403318.11 |
1552995.62 |
95297738.94 |
93744743.32 |
华夏惠利货币A基金规模在同类基金中排列第 222 位,高于同类基金平均水平 |
|
215 |
金鹰增益货币B |
104.24 |
1042420.67 |
-241059.23 |
963849.22 |
1204908.45 |
216 |
万家现金宝B |
103.32 |
1033246.74 |
140996.07 |
852161.99 |
711165.91 |
217 |
富国收益宝交易型货币A |
102.95 |
1029521.09 |
84560.80 |
4935925.38 |
4851364.58 |
218 |
金鹰货币B |
101.52 |
1015214.94 |
-261744.84 |
1185892.18 |
1447637.02 |
219 |
嘉合货币B |
101.49 |
1014919.20 |
412474.27 |
801567.29 |
389093.02 |
220 |
民生现金宝B |
98.08 |
980787.98 |
608905.19 |
973359.49 |
364454.31 |
221 |
东方金账簿货币B |
98.00 |
979986.35 |
-124608.41 |
926040.86 |
1050649.26 |
222 |
华夏惠利货币A |
95.07 |
950671.91 |
82079.86 |
5288491.17 |
5206411.30 |
223 |
国金金腾通货币A |
94.35 |
943492.92 |
134406.60 |
4844036.24 |
4709629.64 |
224 |
易方达天天理财货币A |
93.47 |
934721.64 |
-16310.82 |
385024.50 |
401335.32 |
225 |
鹏华兴鑫宝货币C |
93.23 |
932271.51 |
551047.83 |
691448.84 |
140401.01 |
226 |
浦银安盛日日丰B |
92.58 |
925753.85 |
143311.86 |
1022262.83 |
878950.97 |
227 |
浦银安盛日日鑫A |
92.08 |
920765.26 |
430286.77 |
1881586.02 |
1451299.25 |
228 |
长安货币B |
91.67 |
916714.29 |
2876.70 |
1395534.20 |
1392657.50 |
229 |
兴业稳天盈货币B |
91.48 |
914805.47 |
-132762.54 |
1461957.43 |
1594719.96 |
|
截止日期:2024-03-31基金投资类型:货币型(共 822 只)
排名 |
基金简称 |
基金规模(亿元) |
总份额(万份) |
季度净申购(万份) |
季度总申购(万份) |
季度总赎回(万份) |
1 |
天弘余额宝货币 |
7495.57 |
74955651.00 |
4730336.33 |
130463936.32 |
125733599.99 |
2 |
汇添富收益快线货币A |
34.23 |
34227503.52 |
465140.85 |
119630737.68 |
119165596.82 |
3 |
汇添富收益快线货币B |
28.27 |
28270466.17 |
59640.24 |
184466707.99 |
184407067.74 |
4 |
易方达易理财货币A |
2613.67 |
26136666.28 |
1328517.56 |
81784016.98 |
80455499.43 |
5 |
南方现金通E |
2298.68 |
22986801.99 |
1982177.19 |
101470193.27 |
99488016.08 |
华夏惠利货币A基金规模在同类基金中排列第 220 位,高于同类基金平均水平 |
|
213 |
金鹰增益货币B |
104.24 |
1042420.67 |
-241059.23 |
963849.22 |
1204908.45 |
214 |
万家现金宝B |
103.32 |
1033246.74 |
140996.07 |
852161.99 |
711165.91 |
215 |
富国收益宝交易型货币A |
102.95 |
1029521.09 |
84560.80 |
4935925.38 |
4851364.58 |
216 |
金鹰货币B |
101.52 |
1015214.94 |
-261744.84 |
1185892.18 |
1447637.02 |
217 |
嘉合货币B |
101.49 |
1014919.20 |
412474.27 |
801567.29 |
389093.02 |
218 |
民生现金宝B |
98.08 |
980787.98 |
608905.19 |
973359.49 |
364454.31 |
219 |
东方金账簿货币B |
98.00 |
979986.35 |
-124608.41 |
926040.86 |
1050649.26 |
220 |
华夏惠利货币A |
95.07 |
950671.91 |
82079.86 |
5288491.17 |
5206411.30 |
221 |
国金金腾通货币A |
94.35 |
943492.92 |
134406.60 |
4844036.24 |
4709629.64 |
222 |
易方达天天理财货币A |
93.47 |
934721.64 |
-16310.82 |
385024.50 |
401335.32 |
223 |
鹏华兴鑫宝货币C |
93.23 |
932271.51 |
551047.83 |
691448.84 |
140401.01 |
224 |
浦银安盛日日丰B |
92.58 |
925753.85 |
143311.86 |
1022262.83 |
878950.97 |
225 |
浦银安盛日日鑫A |
92.08 |
920765.26 |
430286.77 |
1881586.02 |
1451299.25 |
226 |
长安货币B |
91.67 |
916714.29 |
2876.70 |
1395534.20 |
1392657.50 |
227 |
兴业稳天盈货币B |
91.48 |
914805.47 |
-132762.54 |
1461957.43 |
1594719.96 |
|
截止日期:2024-03-31基金投资类型:货币型(共 822 只)
排名 |
基金简称 |
基金规模(亿元) |
总份额(万份) |
季度净申购(万份) |
季度总申购(万份) |
季度总赎回(万份) |
1 |
天弘余额宝货币 |
7495.57 |
74955651.00 |
4730336.33 |
130463936.32 |
125733599.99 |
2 |
广发活期宝货币B |
1328.92 |
13289157.79 |
4006075.85 |
6859264.29 |
2853188.44 |
3 |
博时合惠货币B |
1210.16 |
12101593.36 |
3097004.85 |
7947514.70 |
4850509.85 |
4 |
华夏收益宝B |
946.78 |
9467820.08 |
2840958.76 |
5574461.71 |
2733502.95 |
5 |
华夏薪金宝货币 |
814.57 |
8145701.15 |
2552829.64 |
11683645.01 |
9130815.37 |
华夏惠利货币A基金规模在同类基金中排列第 216 位,高于同类基金平均水平 |
|
209 |
大成恒丰宝B |
38.70 |
387026.28 |
89471.83 |
148073.72 |
58601.89 |
210 |
华夏现金宝货币B |
21.65 |
216470.24 |
87774.30 |
115897.48 |
28123.18 |
211 |
博时现金收益货币C |
10.19 |
101920.92 |
86203.96 |
90354.68 |
4150.72 |
212 |
博时兴荣货币B |
39.01 |
390109.37 |
85792.80 |
1988075.39 |
1902282.59 |
213 |
富国收益宝交易型货币A |
102.95 |
1029521.09 |
84560.80 |
4935925.38 |
4851364.58 |
214 |
中海货币B |
59.69 |
596921.17 |
83392.85 |
954106.45 |
870713.60 |
215 |
红土创新优淳货币B |
37.61 |
376138.76 |
83148.65 |
787301.89 |
704153.24 |
216 |
华夏惠利货币A |
95.07 |
950671.91 |
82079.86 |
5288491.17 |
5206411.30 |
217 |
交银天鑫宝货币E |
129.52 |
1295150.87 |
79582.94 |
1074755.34 |
995172.39 |
218 |
宏利京元宝货币B |
50.65 |
506502.90 |
79274.80 |
328240.65 |
248965.85 |
219 |
浦银安盛日日鑫B |
49.21 |
492086.12 |
78864.42 |
495117.28 |
416252.86 |
220 |
万家现金宝A |
87.04 |
870424.03 |
78690.83 |
4404807.71 |
4326116.88 |
221 |
国寿安保薪金宝货币A |
38.17 |
381651.71 |
78566.03 |
453847.57 |
375281.54 |
222 |
中信建投添鑫宝A |
74.81 |
748053.10 |
78448.52 |
4251871.17 |
4173422.65 |
223 |
长江乐享货币C |
51.50 |
514974.77 |
78259.41 |
3371093.34 |
3292833.94 |
|
截止日期:2024-03-31基金投资类型:货币型(共 822 只)
排名 |
基金简称 |
基金规模(亿元) |
总份额(万份) |
季度净申购(万份) |
季度总申购(万份) |
季度总赎回(万份) |
1 |
汇添富收益快线货币B |
28.27 |
28270466.17 |
59640.24 |
184466707.99 |
184407067.74 |
2 |
天弘余额宝货币 |
7495.57 |
74955651.00 |
4730336.33 |
130463936.32 |
125733599.99 |
3 |
汇添富收益快线货币A |
34.23 |
34227503.52 |
465140.85 |
119630737.68 |
119165596.82 |
4 |
南方现金通E |
2298.68 |
22986801.99 |
1982177.19 |
101470193.27 |
99488016.08 |
5 |
富国富钱包货币A |
2140.33 |
21403318.11 |
1552995.62 |
95297738.94 |
93744743.32 |
华夏惠利货币A基金规模在同类基金中排列第 91 位,高于同类基金平均水平 |
|
84 |
易方达龙宝货币B |
452.36 |
4523567.80 |
1479434.90 |
5976141.88 |
4496706.97 |
85 |
汇添富添富通货币A |
240.67 |
2406653.29 |
170345.01 |
5948973.93 |
5778628.92 |
86 |
易方达货币B |
147.99 |
1479906.90 |
343850.47 |
5868581.12 |
5524730.65 |
87 |
易方达天天发货币B |
774.00 |
7739972.01 |
1343456.47 |
5864461.99 |
4521005.52 |
88 |
银华日利C |
144.40 |
1444006.18 |
908959.05 |
5673951.76 |
4764992.71 |
89 |
农银日日鑫货币A |
247.45 |
2474463.66 |
1062.82 |
5651821.13 |
5650758.31 |
90 |
华夏收益宝B |
946.78 |
9467820.08 |
2840958.76 |
5574461.71 |
2733502.95 |
91 |
华夏惠利货币A |
95.07 |
950671.91 |
82079.86 |
5288491.17 |
5206411.30 |
92 |
国寿安保添利货币B |
54.54 |
545442.20 |
47196.41 |
5215071.38 |
5167874.97 |
93 |
南方天天利货币B |
1368.99 |
13689864.34 |
1641707.21 |
5211867.07 |
3570159.86 |
94 |
银华惠添益货币A |
278.53 |
2785273.04 |
2340103.22 |
5142702.38 |
2802599.15 |
95 |
银河银富货币A |
220.13 |
2201346.51 |
-159820.52 |
4993873.27 |
5153693.79 |
96 |
宝盈货币A |
217.23 |
2172251.66 |
75109.85 |
4962127.31 |
4887017.46 |
97 |
富国收益宝交易型货币A |
102.95 |
1029521.09 |
84560.80 |
4935925.38 |
4851364.58 |
98 |
大成现金宝货币A |
2.32 |
2321252.23 |
257660.27 |
4927704.39 |
4670044.12 |
|
截止日期:2024-03-31基金投资类型:货币型(共 822 只)
排名 |
基金简称 |
基金规模(亿元) |
总份额(万份) |
季度净申购(万份) |
季度总申购(万份) |
季度总赎回(万份) |
1 |
汇添富收益快线货币B |
28.27 |
28270466.17 |
59640.24 |
184466707.99 |
184407067.74 |
2 |
天弘余额宝货币 |
7495.57 |
74955651.00 |
4730336.33 |
130463936.32 |
125733599.99 |
3 |
汇添富收益快线货币A |
34.23 |
34227503.52 |
465140.85 |
119630737.68 |
119165596.82 |
4 |
南方现金通E |
2298.68 |
22986801.99 |
1982177.19 |
101470193.27 |
99488016.08 |
5 |
华泰紫金天天发货币 |
596.85 |
5968546.52 |
642749.07 |
95102934.11 |
94460185.03 |
华夏惠利货币A基金规模在同类基金中排列第 86 位,高于同类基金平均水平 |
|
79 |
长盛添利宝货币A |
220.48 |
2204811.07 |
63353.84 |
6638027.19 |
6574673.35 |
80 |
浦银安盛日日盈货币E |
209.35 |
2093533.55 |
369495.88 |
6771934.04 |
6402438.17 |
81 |
建信现金添利货币A |
876.13 |
8761325.38 |
-242703.95 |
6064270.62 |
6306974.57 |
82 |
汇添富添富通货币A |
240.67 |
2406653.29 |
170345.01 |
5948973.93 |
5778628.92 |
83 |
农银日日鑫货币A |
247.45 |
2474463.66 |
1062.82 |
5651821.13 |
5650758.31 |
84 |
易方达货币B |
147.99 |
1479906.90 |
343850.47 |
5868581.12 |
5524730.65 |
85 |
易方达现金B |
1200.46 |
12004643.85 |
-776007.99 |
4470163.59 |
5246171.57 |
86 |
华夏惠利货币A |
95.07 |
950671.91 |
82079.86 |
5288491.17 |
5206411.30 |
87 |
国寿安保添利货币B |
54.54 |
545442.20 |
47196.41 |
5215071.38 |
5167874.97 |
88 |
银河银富货币A |
220.13 |
2201346.51 |
-159820.52 |
4993873.27 |
5153693.79 |
89 |
华宝现金添益B |
11.52 |
115248.63 |
-39501.87 |
4868546.42 |
4908048.29 |
90 |
宝盈货币A |
217.23 |
2172251.66 |
75109.85 |
4962127.31 |
4887017.46 |
91 |
富国收益宝交易型货币A |
102.95 |
1029521.09 |
84560.80 |
4935925.38 |
4851364.58 |
92 |
博时合惠货币B |
1210.16 |
12101593.36 |
3097004.85 |
7947514.70 |
4850509.85 |
93 |
银华日利C |
144.40 |
1444006.18 |
908959.05 |
5673951.76 |
4764992.71 |
|
截止日期:2024-03-31基金投资类型:货币型(共 822 只)