融通新蓝筹混合161601
混合型基金R4 中高风险
0.9630
单位净值
-0.04%
日涨跌幅(2026-04-07)
3.2780
累计净值
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资产配置数据截止日期:2008-12-31
项目金额(元)占基金总资产的比例(%)
银行存款2,010,467,036.8715.71
债券6,021,436,990.9247.05
合计12,798,029,290.10100.00
其它资产167,574,871.751.31
买入返售证券----
股票4,598,550,390.5635.93
行业投资数据截止日期:2008-12-31
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C1,772,411,986.1213.95
采掘业B1,025,096,317.268.07
食品、饮料C0742,289,596.755.84
批发和零售贸易H487,547,952.723.84
社会服务业K455,400,775.983.59
机械、设备、仪表C7436,077,741.903.43
金属、非金属C6279,544,695.972.20
交通运输、仓储业F197,546,240.231.56
房地产业J182,449,263.921.44
金融、保险业I150,903,506.071.19
电力、煤气及水的生产和供应业D143,870,995.261.13
医药、生物制品C8125,030,884.300.98
信息技术业G109,576,210.600.86
石油、化学、塑胶、塑料C4103,188,486.880.81
建筑业E57,697,142.400.45
纺织、服装、皮毛C146,992,003.720.37
电子C539,288,576.600.31
农、林、牧、渔业A16,050,000.000.13
股票持仓数据截止日期:2008-12-31
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(%)
600028中国石化76,462,105536,763,977.104.23
002024苏宁云商26,531,172475,173,290.523.74
000069华侨城A53,403,676436,842,069.683.44
600519贵州茅台3,349,525364,093,367.502.87
000983西山煤电26,104,558304,379,146.282.40
000568泸州老窖16,026,655291,685,121.002.30
000651格力电器9,033,266175,606,691.041.38
601006大秦铁路20,506,972164,465,915.441.29
600036招商银行10,263,201124,800,524.160.98
000960锡业股份11,767,389111,084,152.160.87
600169太原重工7,062,00495,750,456.800.75
000046泛海建设14,467,01284,632,020.200.67
000423东阿阿胶5,880,20079,382,700.000.62
600019宝钢股份16,789,57977,903,646.560.61
600900长江电力9,999,92573,499,448.750.58
601699潞安环能5,414,75167,630,239.990.53
000002万科A10,399,99867,079,987.100.53
600406国电南瑞3,054,07662,272,609.640.49
601186中国铁建5,332,56053,538,902.400.42
600005武钢股份9,896,20947,303,879.020.37
600550天威保变2,325,37446,902,793.580.37
600737中粮屯河5,200,07645,812,669.560.36
600518康美药业5,000,00045,550,000.000.36
600395盘江股份3,779,92044,376,260.800.35
600231凌钢股份9,763,66143,253,018.230.34
600392盛和资源5,475,15243,691,712.960.34
000893东凌粮油4,358,91742,891,743.280.34
002008大族激光6,715,99639,288,576.600.31
600315上海家化1,410,04039,523,421.200.31
000539粤电力A6,349,74439,050,925.600.31
600583海油工程3,300,00038,181,000.000.30
600027华电国际7,888,61130,134,494.020.24
601666平煤股份2,047,00725,546,647.360.20
002112三变科技1,899,52322,471,357.090.18
002029七匹狼2,018,56621,235,314.320.17
600439瑞贝卡2,310,02021,875,889.400.17
600087*ST长油5,183,82520,009,564.500.16
002183怡亚通961,59118,558,706.300.15
000155川化股份3,238,40018,491,264.000.15
000848承德露露1,178,21518,698,272.050.15
600426华鲁恒升1,638,80817,387,752.880.14
000972新中基3,000,00016,050,000.000.13
600048保利地产1,109,64015,978,816.000.13
000911南宁糖业2,137,76415,520,166.640.12
601318中国平安587,60915,624,523.310.12
600150中国船舶369,42414,126,773.760.11
002074东源电器1,509,40214,339,319.000.11
000731四川美丰1,999,98112,779,878.590.10
002050三花股份1,008,37812,443,384.520.10
600115东方航空3,164,83313,070,760.290.10
000061农产品694,65811,045,062.200.09
600765中航重机864,9209,289,240.800.07
600383金地集团1,448,7629,431,440.620.07
600141兴发集团929,7519,027,882.210.07
601808中海油服691,2578,219,045.730.06
601628中国人寿397,7837,418,652.950.06
000833贵糖股份1,200,0006,480,000.000.05
000950建峰化工602,6505,978,288.000.05
000402金融街700,0005,327,000.000.04
600970中材国际129,9454,158,240.000.03
000063中兴通讯132,7903,611,888.000.03
002154报喜鸟352,8003,880,800.000.03
600016民生银行751,7953,059,805.650.02
002269美邦服饰48,0001,329,600.000.01
000527美的电器(退市)93,980778,154.400.01
002122天马股份27,7111,477,827.630.01
600750江中药业8,79098,184.300.00
600886国投电力64,073584,986.490.00
600011华能国际86,870601,140.400.00
债券持仓数据截止日期:2008-12-31
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(%)
080101608央行票据1611,000,0001,061,170,000.008.35
080103408央行票据348,000,000774,160,000.006.09
080110808央票1085,000,000490,850,000.003.86
080104608央行票据465,000,000484,900,000.003.82
01021501国开153,500,000370,475,000.002.92