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 |
南方天天宝货币A基金规模在同类基金中排列第 235 位,高于同类基金平均水平 |
|
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 |
230 |
华泰保兴货币B |
91.41 |
914089.14 |
119639.70 |
2081809.06 |
1962169.35 |
231 |
华夏天利货币A |
91.29 |
912884.34 |
-26193.59 |
2021590.29 |
2047783.88 |
232 |
浦银安盛货币B |
90.84 |
908357.28 |
-77344.22 |
583528.55 |
660872.78 |
233 |
天弘现金管家货币E |
90.58 |
905846.22 |
29591.22 |
2007857.25 |
1978266.03 |
234 |
鹏华盈余宝货币A |
90.18 |
901772.82 |
885359.99 |
3264530.03 |
2379170.04 |
235 |
南方天天宝A |
89.02 |
890163.67 |
-97611.95 |
1822446.16 |
1920058.12 |
236 |
方正证券现金港货币 |
88.51 |
885143.34 |
51846.83 |
4625269.64 |
4573422.81 |
237 |
东吴增鑫宝B |
87.26 |
872621.04 |
73481.36 |
918662.21 |
845180.85 |
238 |
万家现金宝A |
87.04 |
870424.03 |
78690.83 |
4404807.71 |
4326116.88 |
239 |
南方现金增利货币B |
86.24 |
862427.89 |
130877.85 |
364081.76 |
233203.91 |
240 |
申万菱信收益宝货币B |
84.82 |
848189.29 |
171935.34 |
1147889.64 |
975954.31 |
241 |
博时现金宝货币A |
84.37 |
843749.81 |
-74188.67 |
492712.35 |
566901.02 |
242 |
交银天利宝货币E |
83.91 |
839051.67 |
248275.06 |
495648.93 |
247373.87 |
|
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 |
南方天天宝货币A基金规模在同类基金中排列第 233 位,高于同类基金平均水平 |
|
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 |
228 |
华泰保兴货币B |
91.41 |
914089.14 |
119639.70 |
2081809.06 |
1962169.35 |
229 |
华夏天利货币A |
91.29 |
912884.34 |
-26193.59 |
2021590.29 |
2047783.88 |
230 |
浦银安盛货币B |
90.84 |
908357.28 |
-77344.22 |
583528.55 |
660872.78 |
231 |
天弘现金管家货币E |
90.58 |
905846.22 |
29591.22 |
2007857.25 |
1978266.03 |
232 |
鹏华盈余宝货币A |
90.18 |
901772.82 |
885359.99 |
3264530.03 |
2379170.04 |
233 |
南方天天宝A |
89.02 |
890163.67 |
-97611.95 |
1822446.16 |
1920058.12 |
234 |
方正证券现金港货币 |
88.51 |
885143.34 |
51846.83 |
4625269.64 |
4573422.81 |
235 |
东吴增鑫宝B |
87.26 |
872621.04 |
73481.36 |
918662.21 |
845180.85 |
236 |
万家现金宝A |
87.04 |
870424.03 |
78690.83 |
4404807.71 |
4326116.88 |
237 |
南方现金增利货币B |
86.24 |
862427.89 |
130877.85 |
364081.76 |
233203.91 |
238 |
申万菱信收益宝货币B |
84.82 |
848189.29 |
171935.34 |
1147889.64 |
975954.31 |
239 |
博时现金宝货币A |
84.37 |
843749.81 |
-74188.67 |
492712.35 |
566901.02 |
240 |
交银天利宝货币E |
83.91 |
839051.67 |
248275.06 |
495648.93 |
247373.87 |
|
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 |
南方天天宝货币A基金规模在同类基金中排列第 745 位,低于同类基金平均水平 |
|
738 |
海富通货币A |
80.32 |
803198.07 |
-82150.31 |
995187.02 |
1077337.33 |
739 |
信诚智惠金E |
18.35 |
183537.63 |
-82891.81 |
24417.02 |
107308.84 |
740 |
长城工资宝货币B |
14.78 |
147789.56 |
-88102.31 |
264212.46 |
352314.77 |
741 |
国金众赢货币 |
33.23 |
332312.61 |
-88247.36 |
223912.16 |
312159.52 |
742 |
招商招益宝货币A |
31.27 |
312692.55 |
-93048.14 |
266193.14 |
359241.28 |
743 |
汇添富收益快钱货币E |
66.32 |
663241.20 |
-94744.51 |
235151.56 |
329896.07 |
744 |
广发货币C |
55.54 |
555442.96 |
-95648.66 |
395011.85 |
490660.52 |
745 |
南方天天宝A |
89.02 |
890163.67 |
-97611.95 |
1822446.16 |
1920058.12 |
746 |
汇丰晋信货币B |
148.82 |
1488216.90 |
-98328.51 |
2245526.17 |
2343854.68 |
747 |
华润元大现金通货币B |
54.94 |
549443.31 |
-99042.39 |
576457.93 |
675500.32 |
748 |
大成现金宝货币B |
0.04 |
36446.46 |
-101173.44 |
305385.14 |
406558.59 |
749 |
建信货币B |
234.06 |
2340557.27 |
-103336.23 |
1847836.61 |
1951172.84 |
750 |
西部利得天添富货币B |
149.91 |
1499071.45 |
-104208.17 |
1190716.13 |
1294924.30 |
751 |
平安日鑫C |
58.29 |
582878.83 |
-111615.28 |
392759.05 |
504374.34 |
752 |
中邮货币B |
15.61 |
156096.88 |
-114149.13 |
488974.25 |
603123.38 |
|
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 |
南方天天宝货币A基金规模在同类基金中排列第 173 位,高于同类基金平均水平 |
|
166 |
博时兴荣货币B |
39.01 |
390109.37 |
85792.80 |
1988075.39 |
1902282.59 |
167 |
富国安益货币A |
442.53 |
4425280.21 |
477302.45 |
1958554.14 |
1481251.69 |
168 |
鹏华聚财通货币 |
75.45 |
754525.20 |
-125.81 |
1952972.89 |
1953098.71 |
169 |
东兴安盈宝A |
37.40 |
374038.20 |
76085.52 |
1908871.85 |
1832786.33 |
170 |
鑫元安鑫宝货币市场A |
382.36 |
3823586.98 |
-268124.92 |
1891927.22 |
2160052.13 |
171 |
浦银安盛日日鑫A |
92.08 |
920765.26 |
430286.77 |
1881586.02 |
1451299.25 |
172 |
建信货币B |
234.06 |
2340557.27 |
-103336.23 |
1847836.61 |
1951172.84 |
173 |
南方天天宝A |
89.02 |
890163.67 |
-97611.95 |
1822446.16 |
1920058.12 |
174 |
易方达龙宝货币A |
137.32 |
1373223.44 |
576157.03 |
1819722.68 |
1243565.65 |
175 |
东兴安盈宝B |
75.68 |
756800.72 |
-296962.54 |
1785871.26 |
2082833.80 |
176 |
富国安益货币B |
269.56 |
2695597.04 |
942084.33 |
1768799.96 |
826715.63 |
177 |
国寿安保场内实时申赎货币A |
1.56 |
1560782.34 |
-285219.30 |
1763019.35 |
2048238.65 |
178 |
创金合信货币C |
226.21 |
2262123.90 |
357462.78 |
1758725.34 |
1401262.55 |
179 |
南方天天利货币A |
130.49 |
1304893.84 |
326819.53 |
1753122.48 |
1426302.95 |
180 |
长信长金通货币B |
169.02 |
1690160.45 |
695946.69 |
1742442.67 |
1046495.98 |
|
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 |
南方天天宝货币A基金规模在同类基金中排列第 157 位,高于同类基金平均水平 |
|
150 |
东兴安盈宝B |
75.68 |
756800.72 |
-296962.54 |
1785871.26 |
2082833.80 |
151 |
国寿安保场内实时申赎货币A |
1.56 |
1560782.34 |
-285219.30 |
1763019.35 |
2048238.65 |
152 |
华夏天利货币A |
91.29 |
912884.34 |
-26193.59 |
2021590.29 |
2047783.88 |
153 |
天弘现金管家货币E |
90.58 |
905846.22 |
29591.22 |
2007857.25 |
1978266.03 |
154 |
华泰保兴货币B |
91.41 |
914089.14 |
119639.70 |
2081809.06 |
1962169.35 |
155 |
鹏华聚财通货币 |
75.45 |
754525.20 |
-125.81 |
1952972.89 |
1953098.71 |
156 |
建信货币B |
234.06 |
2340557.27 |
-103336.23 |
1847836.61 |
1951172.84 |
157 |
南方天天宝A |
89.02 |
890163.67 |
-97611.95 |
1822446.16 |
1920058.12 |
158 |
博时兴荣货币B |
39.01 |
390109.37 |
85792.80 |
1988075.39 |
1902282.59 |
159 |
南方收益宝货币B |
637.25 |
6372460.38 |
322384.96 |
2180820.90 |
1858435.94 |
160 |
鹏华添利宝货币B |
896.62 |
8966172.80 |
1974436.70 |
3824970.24 |
1850533.54 |
161 |
东兴安盈宝A |
37.40 |
374038.20 |
76085.52 |
1908871.85 |
1832786.33 |
162 |
南方日添益A |
79.94 |
799426.21 |
-42842.62 |
1741368.89 |
1784211.51 |
163 |
兴业安润货币B |
120.77 |
1207663.11 |
248464.23 |
1998940.90 |
1750476.66 |
164 |
国投瑞银钱多宝货币A |
586.26 |
5862587.14 |
1121523.04 |
2842210.55 |
1720687.51 |
|
截止日期:2024-03-31基金投资类型:货币型(共 822 只)