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
1.1701
单位净值
-1.14%
日涨跌幅(2026-05-15)
4.5159
累计净值
微信扫码关注
资产配置数据截止日期:2002-06-30
项目金额(元)占基金总资产的比例(%)
银行存款----
合计--100.00
买入返售证券----
股票1,329,473,949.92--
其它资产----
债券----
行业投资数据截止日期:2002-06-30
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C636,724,811.3630.46
机械、设备、仪表C7295,104,391.5714.12
交通运输、仓储业F130,818,057.366.26
医药、生物制品C8117,757,768.835.63
电力、煤气及水的生产和供应业D114,329,701.815.47
金属、非金属C698,284,108.884.70
金融、保险业I95,409,379.324.56
传播与文化产业L76,179,694.083.64
信息技术业G63,475,987.033.04
批发和零售贸易H63,378,413.423.03
食品、饮料C059,370,554.552.84
石油、化学、塑胶、塑料C457,695,548.932.76
综合类M44,462,359.342.13
社会服务业K43,447,433.352.08
房地产业J36,727,118.011.76
采掘业B21,140,994.841.01
电子C55,630,000.000.27
农、林、牧、渔业A3,380,000.000.16
造纸、印刷C32,530,028.600.12
纺织、服装、皮毛C1352,410.000.02
股票持仓数据截止日期:2002-06-30
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(%)
600085同仁堂4,590,12187,579,508.684.19
600036招商银行6,227,99871,248,297.123.41
600520*ST中发2,640,70068,209,281.003.26
600037歌华有线2,235,45461,519,694.082.94
T00018上港集箱(退市)2,085,60041,566,008.001.99
600585海螺水泥4,756,28839,049,124.481.87
000939凯迪生态2,652,96837,168,081.681.78
600270外运发展1,854,38134,491,486.601.65
000039中集集团1,625,32628,280,672.401.35
600519贵州茅台731,55027,008,826.001.29
600832东方明珠(退市)1,352,56226,983,611.901.29
600827百联股份1,500,00025,470,000.001.22
600132重庆啤酒1,169,87925,093,904.551.20
000559万向钱潮2,240,10324,842,742.271.19
600009上海机场2,395,86224,725,295.841.18
000581威孚高科2,000,00023,520,000.001.13
000542TCL通讯(退市)1,304,83621,986,486.601.05
000905厦门港务2,152,95621,680,266.921.04
600694大商股份2,141,04520,083,002.100.96
600309万华化学1,397,51220,012,371.840.95
600237铜峰电子970,00018,565,800.000.89
600231凌钢股份2,000,00017,680,000.000.85
600066宇通客车1,199,91317,842,706.310.85
600183生益科技1,545,52217,263,480.740.83
600566济川药业1,176,01317,181,549.930.82
600533栖霞建设853,84816,743,959.280.80
600388龙净环保1,000,00016,230,000.000.78
600131岷江水电1,296,78715,963,447.970.76
600361华联综超849,63915,191,545.320.73
600135乐凯胶片1,143,87015,293,541.900.73
000787*ST创智(退市)1,244,11215,066,196.320.72
000723美锦能源1,712,61214,865,472.160.71
600088中视传媒1,000,00014,660,000.000.70
600863内蒙华电1,536,33013,903,786.500.67
600292远达环保767,61613,686,593.280.65
600267海正药业944,08812,697,983.600.61
600529山东药玻564,68012,648,832.000.61
000001平安银行840,23012,721,082.200.61
600258首旅酒店799,25012,292,465.000.59
600596新安股份833,93512,283,862.550.59
000937冀中能源954,46711,825,846.130.57
600686金龙汽车988,45411,653,872.660.56
600732*ST新梅957,63011,520,288.900.55
000927一汽夏利1,532,01611,321,598.240.54
600741华域汽车1,482,92210,410,112.440.50
600378天科股份901,0569,857,552.640.47
600649城投控股1,000,0009,370,000.000.45
000406石油大明(退市)735,2139,315,148.710.45
600376首开股份602,8379,289,718.170.44
600653申华控股1,093,8288,728,747.440.42
000011深物业A1,000,0008,750,000.000.42
000088盐田港500,0008,355,000.000.40
600008首创股份564,9868,096,249.380.39
000767漳泽电力538,4337,866,506.130.38
600466蓝光发展497,3007,618,636.000.36
600767运盛医疗734,3277,475,448.860.36
600718东软集团377,8177,189,857.510.34
600011华能国际500,0007,190,000.000.34
600158中体产业499,9277,093,964.130.34
600366宁波韵升450,0006,808,500.000.33
600379宝光股份551,0006,986,680.000.33
000014沙河股份466,3156,752,241.200.32
600795国电电力393,7256,319,286.250.30
000035中国天楹400,0006,372,000.000.30
000150宜华健康754,4206,344,672.200.30
600016民生银行500,0006,295,000.000.30
600236桂冠电力411,7605,554,642.400.27
000806银河生物500,0005,630,000.000.27
600130波导股份275,8705,633,265.400.27
600580卧龙电气300,0005,613,000.000.27
600556慧球科技334,8005,497,416.000.26
600000浦发银行300,0005,145,000.000.25
600600青岛啤酒500,0004,280,000.000.20
000541佛山照明300,0004,026,000.000.19
000811烟台冰轮295,3224,069,537.160.19
600104上汽集团500,0003,880,000.000.19
600685中船防务450,0003,267,000.000.16
000538云南白药170,3033,380,514.550.16
600180瑞茂通200,0003,380,000.000.16
000029深深房A298,5153,217,991.700.15
000885同力水泥288,4002,987,824.000.14
000966长源电力300,0002,862,000.000.14
000619海螺型材121,0542,530,028.600.12
600821津劝业191,0001,539,460.000.07
600422昆药集团47,000983,710.000.05
600595中孚实业38,000625,480.000.03
600397安源煤业88,000527,120.000.03
000560昆百大A83,300684,726.000.03
600496精工钢构31,000446,090.000.02
600510黑牡丹17,000352,410.000.02
600327大东方24,000409,680.000.02
600486扬农化工14,000248,220.000.01
600536中国软件6,000172,140.000.01
600590泰豪科技25,000119,000.000.01
600503华丽家族35,000303,800.000.01
债券持仓数据截止日期:2002-06-30
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