| 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 |
80300.46 |
8030045.74 |
1161990.79 |
4609474.76 |
3447483.97 |
| 2 |
天弘余额宝货币 |
7646.28 |
76462849.58 |
-2684575.75 |
123923091.72 |
126607667.47 |
| 3 |
建信嘉薪宝货币A |
3900.94 |
39009403.92 |
12045786.16 |
168264584.10 |
156218797.94 |
| 4 |
易方达易理财货币A |
3175.54 |
31755446.44 |
2479773.42 |
117533665.62 |
115053892.20 |
| 5 |
华夏财富宝货币A |
2910.20 |
29101978.86 |
-1154588.15 |
102829526.35 |
103984114.50 |
| 银华惠增利货币A基金规模在同类基金中排列第 89 位,高于同类基金平均水平 |
|
| 82 |
长城收益宝货币B |
555.69 |
5556857.95 |
-47353.60 |
977818.26 |
1025171.85 |
| 83 |
博时保证金货币ETFC |
554.30 |
5542960.67 |
56802.34 |
28785983.18 |
28729180.84 |
| 84 |
国泰现金管理货币A |
537.88 |
5378755.33 |
-124077.29 |
34793342.79 |
34917420.08 |
| 85 |
大成现金增利货币A类 |
523.38 |
5233777.77 |
-154012.47 |
11533417.44 |
11687429.91 |
| 86 |
平安日鑫A |
517.62 |
5176172.69 |
932267.27 |
17881948.88 |
16949681.61 |
| 87 |
建信货币B |
479.51 |
4795054.14 |
1190489.73 |
15019898.44 |
13829408.71 |
| 88 |
万家现金增利B |
479.09 |
4790880.73 |
-143811.66 |
40725861.34 |
40869672.99 |
| 89 |
银华惠增利货币 |
473.87 |
4738712.74 |
1741528.95 |
13293530.05 |
11552001.10 |
| 90 |
工银财富货币A |
468.21 |
4682116.18 |
826882.36 |
7839372.84 |
7012490.48 |
| 91 |
汇添富添富通货币A |
465.80 |
4658033.09 |
1101007.16 |
41958852.81 |
40857845.66 |
| 92 |
博时现金宝货币B |
464.18 |
4641784.03 |
-591092.28 |
2766917.27 |
3358009.55 |
| 93 |
国泰瞬利货币D |
457.39 |
4573882.23 |
430918.47 |
4975107.66 |
4544189.19 |
| 94 |
兴业安润货币B |
452.97 |
4529741.99 |
2236246.04 |
40977129.26 |
38740883.22 |
| 95 |
华泰柏瑞货币A |
443.27 |
4432690.61 |
-62408.10 |
8414588.81 |
8476996.91 |
| 96 |
富国天时货币A |
436.42 |
4364177.61 |
311011.74 |
8642330.20 |
8331318.46 |
|
截止日期:2025-12-31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 |
7646.28 |
76462849.58 |
-2684575.75 |
123923091.72 |
126607667.47 |
| 2 |
建信嘉薪宝货币A |
3900.94 |
39009403.92 |
12045786.16 |
168264584.10 |
156218797.94 |
| 3 |
汇添富收益快线货币A |
32.62 |
32622160.32 |
-833298.83 |
79517262.52 |
80350561.35 |
| 4 |
易方达易理财货币A |
3175.54 |
31755446.44 |
2479773.42 |
117533665.62 |
115053892.20 |
| 5 |
华夏财富宝货币A |
2910.20 |
29101978.86 |
-1154588.15 |
102829526.35 |
103984114.50 |
| 银华惠增利货币A基金规模在同类基金中排列第 89 位,高于同类基金平均水平 |
|
| 82 |
长城收益宝货币B |
555.69 |
5556857.95 |
-47353.60 |
977818.26 |
1025171.85 |
| 83 |
博时保证金货币ETFC |
554.30 |
5542960.67 |
56802.34 |
28785983.18 |
28729180.84 |
| 84 |
国泰现金管理货币A |
537.88 |
5378755.33 |
-124077.29 |
34793342.79 |
34917420.08 |
| 85 |
大成现金增利货币A类 |
523.38 |
5233777.77 |
-154012.47 |
11533417.44 |
11687429.91 |
| 86 |
平安日鑫A |
517.62 |
5176172.69 |
932267.27 |
17881948.88 |
16949681.61 |
| 87 |
建信货币B |
479.51 |
4795054.14 |
1190489.73 |
15019898.44 |
13829408.71 |
| 88 |
万家现金增利B |
479.09 |
4790880.73 |
-143811.66 |
40725861.34 |
40869672.99 |
| 89 |
银华惠增利货币 |
473.87 |
4738712.74 |
1741528.95 |
13293530.05 |
11552001.10 |
| 90 |
工银财富货币A |
468.21 |
4682116.18 |
826882.36 |
7839372.84 |
7012490.48 |
| 91 |
汇添富添富通货币A |
465.80 |
4658033.09 |
1101007.16 |
41958852.81 |
40857845.66 |
| 92 |
博时现金宝货币B |
464.18 |
4641784.03 |
-591092.28 |
2766917.27 |
3358009.55 |
| 93 |
国泰瞬利货币D |
457.39 |
4573882.23 |
430918.47 |
4975107.66 |
4544189.19 |
| 94 |
兴业安润货币B |
452.97 |
4529741.99 |
2236246.04 |
40977129.26 |
38740883.22 |
| 95 |
华泰柏瑞货币A |
443.27 |
4432690.61 |
-62408.10 |
8414588.81 |
8476996.91 |
| 96 |
富国天时货币A |
436.42 |
4364177.61 |
311011.74 |
8642330.20 |
8331318.46 |
|
截止日期:2025-12-31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 |
建信嘉薪宝货币A |
3900.94 |
39009403.92 |
12045786.16 |
168264584.10 |
156218797.94 |
| 2 |
万家日日薪A |
1169.38 |
11693841.25 |
8041163.52 |
61811630.80 |
53770467.29 |
| 3 |
民生加银腾元宝货币B |
400.15 |
4001524.71 |
3465146.73 |
42143589.25 |
38678442.52 |
| 4 |
兴业添天盈货币A |
803.89 |
8038923.74 |
3117261.67 |
100885214.48 |
97767952.81 |
| 5 |
易方达易理财货币A |
3175.54 |
31755446.44 |
2479773.42 |
117533665.62 |
115053892.20 |
| 银华惠增利货币A基金规模在同类基金中排列第 12 位,高于同类基金平均水平 |
|
| 6 |
万家天添宝货币A |
2152.94 |
21529355.53 |
2398803.56 |
261040812.04 |
258642008.48 |
| 7 |
兴业安润货币B |
452.97 |
4529741.99 |
2236246.04 |
40977129.26 |
38740883.22 |
| 8 |
广发钱袋子货币A |
1126.71 |
11267056.56 |
2170599.95 |
61313935.62 |
59143335.67 |
| 9 |
交银活期通货币A |
1288.16 |
12881577.08 |
2124791.92 |
66935391.04 |
64810599.13 |
| 10 |
鹏华盈余宝货币A |
278.12 |
2781207.63 |
1972111.22 |
22001949.58 |
20029838.36 |
| 11 |
嘉实货币E |
590.88 |
5908834.32 |
1759795.01 |
42398778.23 |
40638983.22 |
| 12 |
银华惠增利货币 |
473.87 |
4738712.74 |
1741528.95 |
13293530.05 |
11552001.10 |
| 13 |
广发天天红A |
1653.26 |
16532630.59 |
1615128.76 |
234095040.02 |
232479911.26 |
| 14 |
太平日日鑫货币B |
202.91 |
2029101.05 |
1395020.92 |
5102015.15 |
3706994.23 |
| 15 |
鹏华增值宝货币 |
2229.50 |
22295003.71 |
1375067.73 |
364335674.02 |
362960606.29 |
| 16 |
景顺长城货币A |
639.04 |
6390417.21 |
1373810.61 |
43991007.05 |
42617196.44 |
| 17 |
富国收益宝交易型货币A |
273.81 |
2738052.49 |
1333811.28 |
27970873.18 |
26637061.90 |
| 18 |
交银现金宝货币A |
1058.27 |
10582703.40 |
1320588.64 |
86197786.79 |
84877198.15 |
| 19 |
信诚货币B |
237.01 |
2370099.93 |
1301419.46 |
15269183.00 |
13967763.54 |
|
截止日期:2025-12-31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 |
鹏华增值宝货币 |
2229.50 |
22295003.71 |
1375067.73 |
364335674.02 |
362960606.29 |
| 2 |
万家天添宝货币A |
2152.94 |
21529355.53 |
2398803.56 |
261040812.04 |
258642008.48 |
| 3 |
广发天天红A |
1653.26 |
16532630.59 |
1615128.76 |
234095040.02 |
232479911.26 |
| 4 |
华泰紫金天天发货币 |
1028.82 |
10288155.50 |
-5089.62 |
210300337.85 |
210305427.47 |
| 5 |
招商资管智远天添利货币 |
662.24 |
6622392.42 |
745138.11 |
194337593.95 |
193592455.83 |
| 银华惠增利货币A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 |
长城货币A |
688.86 |
6888644.51 |
-38688.78 |
14299230.16 |
14337918.94 |
| 98 |
大成恒丰宝B |
221.02 |
2210202.85 |
-121324.32 |
14051508.60 |
14172832.92 |
| 99 |
海富通添益货币B |
288.01 |
2880137.35 |
-410037.54 |
13812244.76 |
14222282.30 |
| 100 |
山证日日添利货币C |
55.49 |
554902.55 |
106148.82 |
13777856.73 |
13671707.91 |
| 101 |
银华活钱宝货币F |
597.65 |
5976453.23 |
955451.06 |
13405975.99 |
12450524.93 |
| 102 |
泰信天天收益货币B |
179.47 |
1794748.89 |
58396.58 |
13367911.83 |
13309515.25 |
| 103 |
中泰锦泉汇金货币 |
57.93 |
579288.88 |
61304.22 |
13339061.43 |
13277757.21 |
| 104 |
银华惠增利货币 |
473.87 |
4738712.74 |
1741528.95 |
13293530.05 |
11552001.10 |
| 105 |
鹏华金元宝货币 |
623.89 |
6238912.30 |
-950789.31 |
12069360.14 |
13020149.45 |
| 106 |
华泰柏瑞交易货币D |
108.69 |
1086878.18 |
218743.29 |
12019219.28 |
11800475.99 |
| 107 |
英大现金宝A |
228.37 |
2283749.45 |
574880.48 |
11843675.93 |
11268795.45 |
| 108 |
国金金腾通货币A |
243.11 |
2431111.71 |
426549.65 |
11762845.97 |
11336296.32 |
| 109 |
中融现金增利货币C |
179.26 |
1792556.22 |
273752.15 |
11681942.46 |
11408190.31 |
| 110 |
中融货币C |
74.32 |
743174.89 |
460717.46 |
11601353.19 |
11140635.73 |
| 111 |
华夏惠利货币A |
183.54 |
1835380.73 |
-23460.97 |
11574097.00 |
11597557.98 |
|
截止日期:2025-12-31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 |
鹏华增值宝货币 |
2229.50 |
22295003.71 |
1375067.73 |
364335674.02 |
362960606.29 |
| 2 |
万家天添宝货币A |
2152.94 |
21529355.53 |
2398803.56 |
261040812.04 |
258642008.48 |
| 3 |
广发天天红A |
1653.26 |
16532630.59 |
1615128.76 |
234095040.02 |
232479911.26 |
| 4 |
华泰紫金天天发货币 |
1028.82 |
10288155.50 |
-5089.62 |
210300337.85 |
210305427.47 |
| 5 |
招商资管智远天添利货币 |
662.24 |
6622392.42 |
745138.11 |
194337593.95 |
193592455.83 |
| 银华惠增利货币A基金规模在同类基金中排列第 109 位,高于同类基金平均水平 |
|
| 102 |
中泰锦泉汇金货币 |
57.93 |
579288.88 |
61304.22 |
13339061.43 |
13277757.21 |
| 103 |
鹏华金元宝货币 |
623.89 |
6238912.30 |
-950789.31 |
12069360.14 |
13020149.45 |
| 104 |
银华活钱宝货币F |
597.65 |
5976453.23 |
955451.06 |
13405975.99 |
12450524.93 |
| 105 |
兴全天添益货币B |
1288.31 |
12883078.25 |
-785643.84 |
11198111.01 |
11983754.85 |
| 106 |
华泰柏瑞交易货币D |
108.69 |
1086878.18 |
218743.29 |
12019219.28 |
11800475.99 |
| 107 |
大成现金增利货币A类 |
523.38 |
5233777.77 |
-154012.47 |
11533417.44 |
11687429.91 |
| 108 |
华夏惠利货币A |
183.54 |
1835380.73 |
-23460.97 |
11574097.00 |
11597557.98 |
| 109 |
银华惠增利货币 |
473.87 |
4738712.74 |
1741528.95 |
13293530.05 |
11552001.10 |
| 110 |
鹏华兴鑫宝货币A |
181.63 |
1816274.39 |
-250734.21 |
11280599.94 |
11531334.15 |
| 111 |
中融现金增利货币C |
179.26 |
1792556.22 |
273752.15 |
11681942.46 |
11408190.31 |
| 112 |
国金金腾通货币A |
243.11 |
2431111.71 |
426549.65 |
11762845.97 |
11336296.32 |
| 113 |
英大现金宝A |
228.37 |
2283749.45 |
574880.48 |
11843675.93 |
11268795.45 |
| 114 |
国泰货币B |
817.92 |
8179219.95 |
-109132.23 |
11080507.47 |
11189639.70 |
| 115 |
中融货币C |
74.32 |
743174.89 |
460717.46 |
11601353.19 |
11140635.73 |
| 116 |
汇添富货币E |
264.63 |
2646254.13 |
191263.23 |
11275858.59 |
11084595.37 |
|
截止日期:2025-12-31基金投资类型:货币型(共 822 只)