基金代码基金简称日收益(元/万份)7天年化收益率
400005东方金账簿货币3.72323.2310%
161608融通易支付货币0.88521.8190%
410002华富货币0.60101.5620%
519506海富通货币B0.52941.5800%
519505海富通货币A0.46351.3380%
202302南方现金增利B0.45371.4420%
519508万家货币0.43781.6120%
100028富国天时货币B0.43021.6560%
160609鹏华货币B0.42761.5600%
519589交银货币B0.42421.3810%
041003华安现金富利B0.41161.7620%
020007国泰货币0.40141.6170%
240007华宝兴业货币B0.39091.5730%
202301南方现金增利A0.39001.2040%
519999长信利息收益0.37961.4190%
070008嘉实货币0.37921.4300%
128011国投瑞银货币B0.37351.2700%
091005大成货币B0.37151.3430%
150015银河银富货币B0.37061.3050%
100025富国天时货币A0.36651.4180%
160606鹏华货币A0.36281.3210%
290001泰信天天收益0.36201.8770%
217014招商现金增值B0.35901.2850%
519588交银货币A0.35831.1380%
180009银华货币B0.35291.5570%
270014广发货币B0.35091.6610%
050003博时现金收益0.34961.2700%
040003华安现金富利A0.34821.5260%
320002诺安货币0.34491.2660%
110016易方达货币B0.34471.5230%
37001B上投摩根货币B0.34461.2200%
530002建信货币0.33991.1740%
519517汇添富货币B0.33451.2900%
482002工银瑞信货币0.33371.2030%
163802中银货币0.33111.6890%
240006华宝兴业货币A0.32381.3280%
200003长城货币0.31840.8870%
162206泰达荷银货币0.31491.2530%
288101中信现金优势货币0.31461.1390%
360003光大保德信货币0.30841.0830%
121011国投瑞银货币A0.30661.0210%
150005银河银富货币A0.30611.0650%
090005大成货币A0.30601.0990%
080011长盛货币0.30301.7180%
217004招商现金增值A0.29451.0400%
180008银华货币A0.29291.3170%
110006易方达货币A0.28781.2970%
270004广发货币A0.28681.4220%
350004天治天得利货币0.28571.9520%
370010上投摩根货币A0.27960.9800%
213909宝盈货币B0.27160.9240%
519518汇添富货币A0.27041.0530%
310338申万巴黎货币0.26901.3710%
003003华夏现金增利0.26711.4820%
163303大摩货币0.26653.0020%
340005兴业货币0.26150.9240%
460106友邦华泰货币B0.22170.8030%
560001益民货币0.21100.7780%
213009宝盈货币A0.21060.6840%
260102景顺长城货币0.18380.6020%
460006友邦华泰货币A0.15570.5580%
注:以上全部数据均来自基金市场公开信息  更多请浏览:货币市场基金专题