| 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 |
68680.55 |
6868054.95 |
-932273.03 |
1339953.47 |
2272226.50 |
| 2 |
天弘余额宝货币 |
7914.74 |
79147425.32 |
-174452.69 |
128128898.92 |
128303351.61 |
| 3 |
建信嘉薪宝货币A |
3641.15 |
36411504.13 |
4919248.05 |
45844809.24 |
40925561.19 |
| 4 |
华夏财富宝货币A |
3025.66 |
30256567.01 |
-1857937.93 |
97649298.07 |
99507235.99 |
| 5 |
易方达易理财货币A |
2927.57 |
29275673.02 |
2553855.45 |
96307522.92 |
93753667.48 |
| 汇添富和聚宝货币C基金规模在同类基金中排列第 187 位,高于同类基金平均水平 |
|
| 180 |
金鹰货币B |
159.19 |
1591916.78 |
133715.63 |
13535468.36 |
13401752.74 |
| 181 |
广发添利货币ETFB |
158.57 |
1585746.18 |
-153945.45 |
934203.77 |
1088149.22 |
| 182 |
中金现金管家B |
156.95 |
1569509.49 |
36240.03 |
6221756.79 |
6185516.76 |
| 183 |
信诚智惠金C |
153.67 |
1536678.72 |
27677.80 |
904552.08 |
876874.28 |
| 184 |
金鹰增益货币B |
153.49 |
1534875.13 |
620669.48 |
13738133.63 |
13117464.15 |
| 185 |
海通现金宝货币 |
153.10 |
1530993.89 |
57494.02 |
10143592.47 |
10086098.45 |
| 186 |
中融现金增利货币C |
151.88 |
1518804.07 |
-261122.15 |
15261378.89 |
15522501.04 |
| 187 |
汇添富和聚宝货币C |
151.78 |
1517803.04 |
454871.14 |
9720825.86 |
9265954.71 |
| 188 |
交银天鑫宝货币E |
150.77 |
1507725.02 |
-152338.06 |
2310446.66 |
2462784.72 |
| 189 |
华商现金增利货币B |
143.92 |
1439194.42 |
-330971.27 |
6257876.81 |
6588848.09 |
| 190 |
鹏华添利宝货币A |
138.30 |
1382950.63 |
6611.75 |
2648802.15 |
2642190.39 |
| 191 |
万家现金宝A |
138.16 |
1381611.33 |
59529.01 |
9010114.57 |
8950585.56 |
| 192 |
方正证券现金港货币 |
134.81 |
1348050.76 |
-16489.11 |
7462813.55 |
7479302.66 |
| 193 |
建信现金增利货币A |
133.66 |
1336558.21 |
-17312.41 |
1670013.09 |
1687325.50 |
| 194 |
长城工资宝货币D |
133.62 |
1336181.18 |
738176.73 |
2290462.66 |
1552285.93 |
|
截止日期:2025-09-30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 |
7914.74 |
79147425.32 |
-174452.69 |
128128898.92 |
128303351.61 |
| 2 |
建信嘉薪宝货币A |
3641.15 |
36411504.13 |
4919248.05 |
45844809.24 |
40925561.19 |
| 3 |
汇添富收益快线货币A |
33.46 |
33455459.15 |
-783955.58 |
107113861.96 |
107897817.54 |
| 4 |
华夏财富宝货币A |
3025.66 |
30256567.01 |
-1857937.93 |
97649298.07 |
99507235.99 |
| 5 |
易方达易理财货币A |
2927.57 |
29275673.02 |
2553855.45 |
96307522.92 |
93753667.48 |
| 汇添富和聚宝货币C基金规模在同类基金中排列第 186 位,高于同类基金平均水平 |
|
| 179 |
广发添利货币ETFB |
158.57 |
1585746.18 |
-153945.45 |
934203.77 |
1088149.22 |
| 180 |
中金现金管家B |
156.95 |
1569509.49 |
36240.03 |
6221756.79 |
6185516.76 |
| 181 |
信诚智惠金C |
153.67 |
1536678.72 |
27677.80 |
904552.08 |
876874.28 |
| 182 |
金鹰增益货币B |
153.49 |
1534875.13 |
620669.48 |
13738133.63 |
13117464.15 |
| 183 |
海通现金宝货币 |
153.10 |
1530993.89 |
57494.02 |
10143592.47 |
10086098.45 |
| 184 |
国寿安保场内实时申赎货币A |
1.52 |
1520902.40 |
13948.06 |
5359477.10 |
5345529.04 |
| 185 |
中融现金增利货币C |
151.88 |
1518804.07 |
-261122.15 |
15261378.89 |
15522501.04 |
| 186 |
汇添富和聚宝货币C |
151.78 |
1517803.04 |
454871.14 |
9720825.86 |
9265954.71 |
| 187 |
交银天鑫宝货币E |
150.77 |
1507725.02 |
-152338.06 |
2310446.66 |
2462784.72 |
| 188 |
华商现金增利货币B |
143.92 |
1439194.42 |
-330971.27 |
6257876.81 |
6588848.09 |
| 189 |
鹏华添利宝货币A |
138.30 |
1382950.63 |
6611.75 |
2648802.15 |
2642190.39 |
| 190 |
万家现金宝A |
138.16 |
1381611.33 |
59529.01 |
9010114.57 |
8950585.56 |
| 191 |
方正证券现金港货币 |
134.81 |
1348050.76 |
-16489.11 |
7462813.55 |
7479302.66 |
| 192 |
建信现金增利货币A |
133.66 |
1336558.21 |
-17312.41 |
1670013.09 |
1687325.50 |
| 193 |
长城工资宝货币D |
133.62 |
1336181.18 |
738176.73 |
2290462.66 |
1552285.93 |
|
截止日期:2025-09-30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 |
建信嘉薪宝货币A |
3641.15 |
36411504.13 |
4919248.05 |
45844809.24 |
40925561.19 |
| 2 |
万家日日薪A |
933.16 |
9331625.22 |
3443969.85 |
19116143.98 |
15672174.13 |
| 3 |
易方达增金宝货币A |
1605.57 |
16055706.28 |
3047400.52 |
30333542.02 |
27286141.49 |
| 4 |
易方达易理财货币A |
2927.57 |
29275673.02 |
2553855.45 |
96307522.92 |
93753667.48 |
| 5 |
工银财富货币A |
385.52 |
3855233.82 |
2129656.56 |
7047050.04 |
4917393.48 |
| 汇添富和聚宝货币C基金规模在同类基金中排列第 45 位,高于同类基金平均水平 |
|
| 38 |
华安日日鑫货币A |
1628.65 |
16286533.43 |
514310.41 |
40179226.53 |
39664916.12 |
| 39 |
国泰君安现金管家货币 |
370.54 |
3705441.92 |
512659.02 |
30861752.40 |
30349093.38 |
| 40 |
上银慧增利货币B |
349.84 |
3498382.50 |
510603.23 |
2823867.83 |
2313264.59 |
| 41 |
万家现金增利B |
517.16 |
5171577.65 |
493214.71 |
16653798.37 |
16160583.66 |
| 42 |
兴业安润货币B |
419.72 |
4197157.81 |
470962.12 |
16425613.94 |
15954651.82 |
| 43 |
万家货币B |
314.23 |
3142290.14 |
470631.65 |
1524292.01 |
1053660.36 |
| 44 |
泰康现金管家货币C |
159.67 |
1596660.13 |
456109.99 |
1955587.00 |
1499477.00 |
| 45 |
汇添富和聚宝货币C |
151.78 |
1517803.04 |
454871.14 |
9720825.86 |
9265954.71 |
| 46 |
工银现金货币 |
1211.41 |
12114087.25 |
434758.38 |
53609960.20 |
53175201.82 |
| 47 |
易方达龙宝货币B |
165.45 |
1654499.72 |
422459.42 |
9924383.05 |
9501923.63 |
| 48 |
大成恒丰宝B |
233.15 |
2331527.17 |
409947.48 |
11353271.37 |
10943323.90 |
| 49 |
国富安享货币 |
235.88 |
2358815.88 |
402590.63 |
19814732.94 |
19412142.31 |
| 50 |
中金财富聚金利 |
204.42 |
2044208.24 |
397927.16 |
18032485.55 |
17634558.39 |
| 51 |
信诚货币B |
164.33 |
1643323.43 |
391169.15 |
3991751.47 |
3600582.32 |
| 52 |
交银现金宝货币A |
1009.84 |
10098407.82 |
390720.91 |
22676557.63 |
22285836.71 |
|
截止日期:2025-09-30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 |
华泰紫金天天发货币 |
1029.32 |
10293245.12 |
705519.30 |
242824882.44 |
242119363.14 |
| 2 |
汇添富收益快线货币B |
19.55 |
19547269.36 |
-1943484.33 |
181377211.55 |
183320695.88 |
| 3 |
天弘余额宝货币 |
7914.74 |
79147425.32 |
-174452.69 |
128128898.92 |
128303351.61 |
| 4 |
南方现金通E |
2489.29 |
24892888.40 |
120857.10 |
107866539.22 |
107745682.12 |
| 5 |
汇添富收益快线货币A |
33.46 |
33455459.15 |
-783955.58 |
107113861.96 |
107897817.54 |
| 汇添富和聚宝货币C基金规模在同类基金中排列第 104 位,高于同类基金平均水平 |
|
| 97 |
汇添富添富通货币A |
487.90 |
4878980.60 |
-110835.61 |
11317224.61 |
11428060.22 |
| 98 |
兴业鑫天盈货币B |
163.55 |
1635462.88 |
-595935.85 |
11282477.88 |
11878413.73 |
| 99 |
英大现金宝A |
170.89 |
1708868.98 |
141430.00 |
11279077.28 |
11137647.28 |
| 100 |
万家天添宝货币B |
21.26 |
212589.41 |
-20036.42 |
10315273.12 |
10335309.54 |
| 101 |
方正富邦货币A |
121.62 |
1216214.88 |
351499.60 |
10191263.67 |
9839764.07 |
| 102 |
海通现金宝货币 |
153.10 |
1530993.89 |
57494.02 |
10143592.47 |
10086098.45 |
| 103 |
易方达龙宝货币B |
165.45 |
1654499.72 |
422459.42 |
9924383.05 |
9501923.63 |
| 104 |
汇添富和聚宝货币C |
151.78 |
1517803.04 |
454871.14 |
9720825.86 |
9265954.71 |
| 105 |
摩根货币B |
634.90 |
6348972.32 |
-195442.79 |
9602932.84 |
9798375.63 |
| 106 |
国金金腾通货币C |
97.31 |
973119.09 |
12701.20 |
9300936.77 |
9288235.57 |
| 107 |
永赢天天利货币A |
710.55 |
7105500.93 |
-585837.05 |
9282403.92 |
9868240.97 |
| 108 |
国泰现金管理货币A |
559.86 |
5598570.86 |
17507.35 |
9084874.98 |
9067367.63 |
| 109 |
万家现金宝A |
138.16 |
1381611.33 |
59529.01 |
9010114.57 |
8950585.56 |
| 110 |
富国天时货币A |
405.32 |
4053165.87 |
-428361.45 |
9004342.88 |
9432704.33 |
| 111 |
中信建投添鑫宝A |
112.48 |
1124798.65 |
52105.32 |
8751681.75 |
8699576.43 |
|
截止日期:2025-09-30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 |
华泰紫金天天发货币 |
1029.32 |
10293245.12 |
705519.30 |
242824882.44 |
242119363.14 |
| 2 |
汇添富收益快线货币B |
19.55 |
19547269.36 |
-1943484.33 |
181377211.55 |
183320695.88 |
| 3 |
天弘余额宝货币 |
7914.74 |
79147425.32 |
-174452.69 |
128128898.92 |
128303351.61 |
| 4 |
汇添富收益快线货币A |
33.46 |
33455459.15 |
-783955.58 |
107113861.96 |
107897817.54 |
| 5 |
南方现金通E |
2489.29 |
24892888.40 |
120857.10 |
107866539.22 |
107745682.12 |
| 汇添富和聚宝货币C基金规模在同类基金中排列第 108 位,高于同类基金平均水平 |
|
| 101 |
海通现金宝货币 |
153.10 |
1530993.89 |
57494.02 |
10143592.47 |
10086098.45 |
| 102 |
永赢天天利货币A |
710.55 |
7105500.93 |
-585837.05 |
9282403.92 |
9868240.97 |
| 103 |
方正富邦货币A |
121.62 |
1216214.88 |
351499.60 |
10191263.67 |
9839764.07 |
| 104 |
摩根货币B |
634.90 |
6348972.32 |
-195442.79 |
9602932.84 |
9798375.63 |
| 105 |
易方达龙宝货币B |
165.45 |
1654499.72 |
422459.42 |
9924383.05 |
9501923.63 |
| 106 |
富国天时货币A |
405.32 |
4053165.87 |
-428361.45 |
9004342.88 |
9432704.33 |
| 107 |
国金金腾通货币C |
97.31 |
973119.09 |
12701.20 |
9300936.77 |
9288235.57 |
| 108 |
汇添富和聚宝货币C |
151.78 |
1517803.04 |
454871.14 |
9720825.86 |
9265954.71 |
| 109 |
汇添富货币E |
245.50 |
2454990.91 |
-693197.96 |
8545800.90 |
9238998.85 |
| 110 |
华安现金宝B |
748.97 |
7489683.27 |
-1561333.78 |
7653001.52 |
9214335.29 |
| 111 |
国泰现金管理货币A |
559.86 |
5598570.86 |
17507.35 |
9084874.98 |
9067367.63 |
| 112 |
万家现金宝A |
138.16 |
1381611.33 |
59529.01 |
9010114.57 |
8950585.56 |
| 113 |
中信建投添鑫宝A |
112.48 |
1124798.65 |
52105.32 |
8751681.75 |
8699576.43 |
| 114 |
华泰柏瑞货币A |
449.51 |
4495098.71 |
61009.88 |
8726997.63 |
8665987.75 |
| 115 |
广发活期宝货币B |
966.80 |
9667979.45 |
-180287.42 |
8453933.06 |
8634220.49 |
|
截止日期:2025-09-30基金投资类型:货币型(共 822 只)