| 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 |
| 浙商日添金B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 |
财通资管鑫管家货币B |
94.49 |
944912.34 |
54787.40 |
2789495.45 |
2734708.06 |
| 227 |
嘉实货币A |
92.69 |
926904.52 |
-40494.90 |
332988.47 |
373483.36 |
| 228 |
海富通货币A |
91.90 |
918966.10 |
202681.77 |
1560089.35 |
1357407.58 |
| 229 |
兴银现金添利C |
91.22 |
912192.54 |
62832.23 |
362335.84 |
299503.61 |
| 230 |
新华活期添利货币B |
90.80 |
908034.65 |
-353621.17 |
6295624.05 |
6649245.22 |
| 231 |
华安现金宝A |
90.61 |
906125.66 |
-10859.32 |
6007092.41 |
6017951.73 |
| 232 |
海富通货币D |
89.69 |
896912.23 |
98838.23 |
802548.85 |
703710.62 |
| 233 |
浙商日添金货币B |
89.20 |
892031.87 |
-128964.77 |
5370358.82 |
5499323.58 |
| 234 |
华夏现金宝货币A |
88.34 |
883429.92 |
17153.69 |
1122649.37 |
1105495.69 |
| 235 |
国寿安保增金宝货币B |
87.97 |
879749.31 |
-141652.03 |
437959.10 |
579611.13 |
| 236 |
东方红货币B |
86.74 |
867420.17 |
-38417.08 |
1417621.25 |
1456038.33 |
| 237 |
天弘弘运宝B |
85.30 |
852951.94 |
-18856.08 |
59896224.47 |
59915080.55 |
| 238 |
易方达龙宝货币A |
85.28 |
852801.08 |
-9582.75 |
1534373.98 |
1543956.74 |
| 239 |
诺安聚鑫宝货币C |
83.64 |
836441.00 |
-126999.65 |
4066217.30 |
4193216.95 |
| 240 |
工银薪金货币A |
83.21 |
832078.47 |
80324.42 |
670002.22 |
589677.80 |
|
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 |
| 浙商日添金B基金规模在同类基金中排列第 231 位,高于同类基金平均水平 |
|
| 224 |
财通资管鑫管家货币B |
94.49 |
944912.34 |
54787.40 |
2789495.45 |
2734708.06 |
| 225 |
嘉实货币A |
92.69 |
926904.52 |
-40494.90 |
332988.47 |
373483.36 |
| 226 |
海富通货币A |
91.90 |
918966.10 |
202681.77 |
1560089.35 |
1357407.58 |
| 227 |
兴银现金添利C |
91.22 |
912192.54 |
62832.23 |
362335.84 |
299503.61 |
| 228 |
新华活期添利货币B |
90.80 |
908034.65 |
-353621.17 |
6295624.05 |
6649245.22 |
| 229 |
华安现金宝A |
90.61 |
906125.66 |
-10859.32 |
6007092.41 |
6017951.73 |
| 230 |
海富通货币D |
89.69 |
896912.23 |
98838.23 |
802548.85 |
703710.62 |
| 231 |
浙商日添金货币B |
89.20 |
892031.87 |
-128964.77 |
5370358.82 |
5499323.58 |
| 232 |
华夏现金宝货币A |
88.34 |
883429.92 |
17153.69 |
1122649.37 |
1105495.69 |
| 233 |
国寿安保增金宝货币B |
87.97 |
879749.31 |
-141652.03 |
437959.10 |
579611.13 |
| 234 |
东方红货币B |
86.74 |
867420.17 |
-38417.08 |
1417621.25 |
1456038.33 |
| 235 |
天弘弘运宝B |
85.30 |
852951.94 |
-18856.08 |
59896224.47 |
59915080.55 |
| 236 |
易方达龙宝货币A |
85.28 |
852801.08 |
-9582.75 |
1534373.98 |
1543956.74 |
| 237 |
诺安聚鑫宝货币C |
83.64 |
836441.00 |
-126999.65 |
4066217.30 |
4193216.95 |
| 238 |
工银薪金货币A |
83.21 |
832078.47 |
80324.42 |
670002.22 |
589677.80 |
|
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 |
| 浙商日添金B基金规模在同类基金中排列第 719 位,低于同类基金平均水平 |
|
| 712 |
嘉合货币B |
79.38 |
793806.32 |
-114488.40 |
2053193.16 |
2167681.56 |
| 713 |
前海开源聚财宝B |
111.00 |
1109964.74 |
-117147.15 |
14311961.25 |
14429108.40 |
| 714 |
嘉实薪金宝货币A |
123.55 |
1235451.31 |
-117251.60 |
1660337.70 |
1777589.30 |
| 715 |
银河钱包货币B |
25.02 |
250206.22 |
-120548.31 |
1235762.44 |
1356310.75 |
| 716 |
光大保德信耀钱包货币C |
46.82 |
468242.03 |
-121396.79 |
799214.87 |
920611.66 |
| 717 |
国寿安保鑫钱包货币A |
73.90 |
738972.60 |
-124158.16 |
929497.42 |
1053655.58 |
| 718 |
诺安聚鑫宝货币C |
83.64 |
836441.00 |
-126999.65 |
4066217.30 |
4193216.95 |
| 719 |
浙商日添金货币B |
89.20 |
892031.87 |
-128964.77 |
5370358.82 |
5499323.58 |
| 720 |
中银证券现金管家货币A |
71.59 |
715916.44 |
-130915.29 |
311602.24 |
442517.53 |
| 721 |
招商招钱宝货币B |
317.65 |
3176548.65 |
-131493.89 |
572874.50 |
704368.39 |
| 722 |
融通现金宝货币B |
17.69 |
176936.91 |
-131836.77 |
271884.83 |
403721.60 |
| 723 |
丰润货币B |
99.11 |
991119.19 |
-133646.76 |
6393616.69 |
6527263.45 |
| 724 |
工银安盈货币B |
47.80 |
478002.28 |
-134336.45 |
221734.35 |
356070.80 |
| 725 |
国泰货币B |
838.34 |
8383404.88 |
-134927.71 |
2516745.57 |
2651673.28 |
| 726 |
国寿安保增金宝货币B |
87.97 |
879749.31 |
-141652.03 |
437959.10 |
579611.13 |
|
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 |
| 浙商日添金B基金规模在同类基金中排列第 156 位,高于同类基金平均水平 |
|
| 149 |
华泰紫金货币增利E |
297.71 |
2977065.78 |
38319.46 |
5621935.73 |
5583616.26 |
| 150 |
国投瑞银钱多宝货币A |
242.12 |
2421243.57 |
-910959.79 |
5598791.90 |
6509751.69 |
| 151 |
平安日鑫A |
530.81 |
5308105.33 |
372841.07 |
5565260.62 |
5192419.55 |
| 152 |
兴业货币A |
260.42 |
2604207.59 |
65580.07 |
5542699.21 |
5477119.14 |
| 153 |
鹏华盈余宝货币A |
225.46 |
2254594.77 |
-430833.92 |
5523732.33 |
5954566.25 |
| 154 |
嘉实快线货币A |
463.87 |
4638654.75 |
-833663.96 |
5439544.94 |
6273208.89 |
| 155 |
华安汇财通货币 |
308.76 |
3087554.84 |
54691.84 |
5385811.74 |
5331119.90 |
| 156 |
浙商日添金货币B |
89.20 |
892031.87 |
-128964.77 |
5370358.82 |
5499323.58 |
| 157 |
国寿安保场内实时申赎货币A |
1.52 |
1520902.40 |
13948.06 |
5359477.10 |
5345529.04 |
| 158 |
中欧骏泰货币B |
195.03 |
1950344.11 |
-25619.84 |
5223562.03 |
5249181.87 |
| 159 |
天弘云商宝货币 |
374.09 |
3740936.77 |
-154826.88 |
5163200.87 |
5318027.75 |
| 160 |
建信现金增利货币B |
1249.51 |
12495135.08 |
-53524.77 |
5089256.34 |
5142781.12 |
| 161 |
红土创新优淳货币B |
113.74 |
1137395.76 |
29846.56 |
5015312.73 |
4985466.16 |
| 162 |
鹏华安盈宝货币A |
182.44 |
1824412.41 |
61100.14 |
5004665.28 |
4943565.14 |
| 163 |
博时合惠货币B |
1333.97 |
13339747.70 |
1434734.93 |
4903971.94 |
3469237.01 |
|
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 |
| 浙商日添金B基金规模在同类基金中排列第 152 位,高于同类基金平均水平 |
|
| 145 |
易方达现金B |
842.27 |
8422677.93 |
375139.02 |
6448497.16 |
6073358.14 |
| 146 |
华安现金宝A |
90.61 |
906125.66 |
-10859.32 |
6007092.41 |
6017951.73 |
| 147 |
鹏华盈余宝货币A |
225.46 |
2254594.77 |
-430833.92 |
5523732.33 |
5954566.25 |
| 148 |
宝盈货币A |
273.93 |
2739339.79 |
-8493.00 |
5943816.16 |
5952309.15 |
| 149 |
兴证资管金麒麟现金添利货币 |
72.21 |
722070.43 |
153620.86 |
5879038.20 |
5725417.35 |
| 150 |
银河银富货币A |
247.88 |
2478782.64 |
29558.10 |
5695672.00 |
5666113.90 |
| 151 |
华泰紫金货币增利E |
297.71 |
2977065.78 |
38319.46 |
5621935.73 |
5583616.26 |
| 152 |
浙商日添金货币B |
89.20 |
892031.87 |
-128964.77 |
5370358.82 |
5499323.58 |
| 153 |
兴业货币A |
260.42 |
2604207.59 |
65580.07 |
5542699.21 |
5477119.14 |
| 154 |
华夏收益宝B |
837.15 |
8371539.35 |
-2230433.99 |
3179355.27 |
5409789.26 |
| 155 |
国寿安保场内实时申赎货币A |
1.52 |
1520902.40 |
13948.06 |
5359477.10 |
5345529.04 |
| 156 |
华安汇财通货币 |
308.76 |
3087554.84 |
54691.84 |
5385811.74 |
5331119.90 |
| 157 |
天弘云商宝货币 |
374.09 |
3740936.77 |
-154826.88 |
5163200.87 |
5318027.75 |
| 158 |
中欧骏泰货币B |
195.03 |
1950344.11 |
-25619.84 |
5223562.03 |
5249181.87 |
| 159 |
平安日鑫A |
530.81 |
5308105.33 |
372841.07 |
5565260.62 |
5192419.55 |
|
截止日期:2025-09-30基金投资类型:货币型(共 822 只)