融通通乾研究精选灵活配置混合A002989
混合型基金R4 中高风险
1.1233
单位净值
-1.70%
日涨跌幅(2026-04-03)
4.4707
累计净值
微信扫码关注
资产配置数据截止日期:2001-12-31
项目金额(元)占基金总资产的比例(%)
债券----
银行存款----
买入返售证券----
股票788,710,715.75--
其它资产----
合计--100.00
行业投资数据截止日期:2001-12-31
行业分类名称行业分类代码行业市值(元)占基金资产净值比例(%)
制造业C377,731,487.0018.90
机械、设备、仪表C7173,176,515.298.67
交通运输、仓储业F118,546,777.485.93
传播与文化产业L104,406,521.335.23
医药、生物制品C896,694,371.934.84
综合类M62,344,880.173.12
石油、化学、塑胶、塑料C451,901,185.662.60
采掘业B38,247,019.401.91
金属、非金属C633,233,385.401.66
电力、煤气及水的生产和供应业D20,048,661.581.00
农、林、牧、渔业A16,004,267.400.80
批发和零售贸易H15,637,982.700.78
社会服务业K13,777,530.690.69
电子C510,869,563.160.54
信息技术业G10,270,137.000.51
食品、饮料C09,888,414.560.49
金融、保险业I6,876,100.000.34
房地产业J4,819,351.000.24
纺织、服装、皮毛C11,542,051.000.08
造纸、印刷C3426,000.000.02
股票持仓数据截止日期:2001-12-31
股票代码股票名称数量(股)公允价值(元)占基金资产净值比例(%)
600379宝光股份15,00041,400.00--
600085同仁堂4,320,43785,933,491.934.30
600037歌华有线2,720,81482,086,958.384.11
600270外运发展1,589,40537,080,818.651.86
T00018上港集箱(退市)1,855,60034,959,504.001.75
600072钢构工程3,271,82130,362,498.881.52
000011深物业A3,146,61025,896,600.301.30
600388龙净环保1,573,05024,901,381.501.25
000406石油大明(退市)1,855,83524,942,422.401.25
600832东方明珠(退市)1,194,06224,669,320.921.23
000559万向钱潮1,920,54320,338,550.371.02
000088盐田港1,304,40919,292,209.110.97
000541佛山照明1,387,04518,905,423.350.95
600231凌钢股份2,000,00017,700,000.000.89
600088中视传媒1,106,45517,360,278.950.87
600135乐凯胶片1,358,61317,064,179.280.85
600386北巴传媒1,130,26216,366,193.760.82
600180瑞茂通929,94016,004,267.400.80
000039中集集团568,38015,249,635.400.76
000723美锦能源1,979,61215,005,458.960.75
600596新安股份934,58513,822,512.150.69
000956中原油气(退市)1,271,95013,304,597.000.67
600566济川药业790,21312,825,156.990.64
600183生益科技1,351,12412,349,273.360.62
000632三木集团931,14311,778,958.950.59
600261阳光照明494,97110,869,563.160.54
600309万华化学426,07210,276,856.640.51
600009上海机场1,214,86210,059,057.360.50
600292远达环保590,17010,015,184.900.50
000550江铃汽车1,434,6949,325,511.000.47
600237铜峰电子443,4859,393,012.300.47
000538云南白药444,6009,247,680.000.46
600008首创股份664,9869,023,860.020.45
600339*ST天利499,2098,516,505.540.43
000927一汽夏利1,332,0168,125,297.600.41
000885同力水泥609,2007,688,104.000.38
600816安信信托770,0006,876,100.000.34
600609金杯汽车1,000,0005,830,000.000.29
000014沙河股份438,7405,725,557.000.29
600880博瑞传播295,9004,959,284.000.25
600741华域汽车593,4674,753,670.670.24
000002万科A364,5504,819,351.000.24
600500中化国际334,9504,632,358.500.23
000767漳泽电力310,2004,693,326.000.23
600631百联股份(退市)499,7104,322,491.500.22
000811烟台冰轮295,3224,161,086.980.21
600766园城黄金370,3743,722,258.700.19
000739普洛药业223,8002,960,874.000.15
000027深圳能源278,3602,641,636.400.13
000066长城电脑180,0002,476,800.000.12
600367红星发展69,5192,221,132.050.11
600132重庆啤酒110,2362,200,310.560.11
600775南京熊猫143,0002,067,780.000.10
600422昆药集团60,0001,513,200.000.08
000726鲁泰A110,7001,542,051.000.08
600098广州发展100,0001,506,000.000.08
000760斯太尔129,6001,469,664.000.07
600011华能国际94,4941,192,514.280.06
600548深高速111,126788,994.600.04
600567山鹰纸业40,000426,000.000.02
600520*ST中发21,000142,800.000.01
600362江西铜业125,000283,750.000.01
债券持仓数据截止日期:2001-12-31
债券代码债券名称数量(张)公允价值(元)占基金资产净值比例(%)
暂无数据