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
1.1427
单位净值
-1.33%
日涨跌幅(2026-04-02)
4.4894
累计净值
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资产配置数据截止日期:2013-06-30
项目金额(元)占基金总资产的比例(%)
债券453,970,000.0021.62
合计2,099,291,835.33100.00
买入返售证券----
股票1,425,178,305.3567.89
其它资产5,526,845.290.26
银行存款214,616,684.6910.22
行业投资数据截止日期:2013-06-30
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C928,166,145.8445.02
采矿业B113,649,458.005.51
租赁和商务服务业L81,328,695.003.94
房地产业K76,425,280.503.71
建筑业E66,377,326.683.22
批发和零售业F46,885,960.172.27
金融业J41,175,337.002.00
水利、环境和公共设施管理业N32,428,802.161.57
文化、体育和娱乐业R25,701,300.001.25
农、林、牧、渔业A13,040,000.000.63
股票持仓数据截止日期:2013-06-30
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(%)
300157恒泰艾普2,800,10096,827,458.004.70
000625长安汽车9,000,10083,610,929.004.06
000400许继电气3,000,49281,253,323.363.94
000538云南白药883,29374,205,444.933.60
600518康美药业3,800,02973,074,557.673.54
000012南玻A7,800,00072,306,000.003.51
002241歌尔股份1,900,04468,952,596.763.34
000002万科A6,000,00059,100,000.002.87
002638勤上光电3,500,01648,335,220.962.34
002292奥飞娱乐1,900,00042,541,000.002.06
300058蓝色光标1,000,67841,728,272.602.02
002236大华股份1,050,07040,144,176.101.95
002400省广股份1,500,01639,600,422.401.92
300197铁汉生态1,500,09237,937,326.681.84
300136信维通信1,500,09936,452,405.701.77
002091江苏国泰2,800,06936,204,892.171.76
300070碧水源860,63732,428,802.161.57
300088长信科技1,500,00031,635,000.001.53
600332白云山900,00030,834,000.001.50
002106莱宝高科2,000,00030,700,000.001.49
000651格力电器1,200,39430,081,873.641.46
002431棕榈股份1,500,00028,440,000.001.38
601688华泰证券3,500,00028,210,000.001.37
002415海康威视800,10028,275,534.001.37
002005德豪润达2,800,00026,040,000.001.26
600633浙报传媒1,710,00025,701,300.001.25
300228富瑞特装289,95323,196,240.001.13
600587新华医疗500,03620,721,491.841.01
000800一汽轿车1,500,10018,451,230.000.89
002305南国置业2,100,03417,325,280.500.84
600583海油工程2,600,00016,822,000.000.82
600703三安光电800,00015,712,000.000.76
000661长春高新150,00014,686,500.000.71
600252中恒集团1,000,10013,881,388.000.67
601208东材科技2,400,12213,488,685.640.65
600108亚盛集团2,000,00013,040,000.000.63
601336新华保险524,70012,965,337.000.63
002221东华能源1,000,10010,681,068.000.52
002283天润曲轴1,300,0926,253,442.520.30
002216三全食品230,0283,333,105.720.16
债券持仓数据截止日期:2013-06-30
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(%)
06020106国开012,000,000194,500,000.009.43
11023411国开341,000,00099,940,000.004.85
10023610国开36800,00079,720,000.003.87
12022812国开28500,00049,975,000.002.42
13020113国开01300,00029,835,000.001.45