融通新蓝筹混合161601
混合型基金R3 中风险
0.7980
单位净值
-0.25%
日涨跌幅(2025-06-06)
3.1130
累计净值
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资产配置数据截止日期:2010-12-31
项目金额(元)占基金总资产的比例(%)
银行存款1,242,185,848.148.39
股票10,350,928,010.6469.92
债券3,072,105,000.0020.75
合计14,803,712,403.92100.00
其它资产138,493,545.140.94
买入返售证券----
行业投资数据截止日期:2010-12-31
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C7,712,068,544.4052.42
医药、生物制品C83,131,105,089.3821.28
机械、设备、仪表C72,829,453,377.8619.23
食品、饮料C01,006,168,735.526.84
信息技术业G776,290,448.075.28
综合类M552,991,125.573.76
农、林、牧、渔业A379,045,958.002.58
批发和零售贸易H345,992,471.092.35
金属、非金属C6335,031,245.482.28
房地产业J192,176,834.911.31
电子C5178,108,395.301.21
建筑业E170,861,085.681.16
石油、化学、塑胶、塑料C4147,497,778.631.00
交通运输、仓储业F85,199,948.720.58
纺织、服装、皮毛C183,744,362.230.57
金融、保险业I56,160,000.000.38
电力、煤气及水的生产和供应业D41,068,094.200.28
社会服务业K39,073,500.000.27
造纸、印刷C3959,560.000.01
股票持仓数据截止日期:2010-12-31
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(%)
600166福田汽车50,021,5691,192,373,695.328.11
002007华兰生物19,556,462946,337,196.186.43
600887伊利股份22,007,827842,019,461.025.72
000538云南白药11,806,399713,106,499.604.85
600499科达机电21,075,584502,441,922.563.42
600267海正药业10,402,660400,294,356.802.72
002069獐子岛8,845,880379,045,958.002.58
600993马应龙7,924,456361,592,927.282.46
002230科大讯飞4,477,095353,690,505.002.40
600570恒生电子17,099,903346,273,035.752.35
000651格力电器17,356,149314,666,981.372.14
000009中国宝安18,383,633308,293,525.412.10
002073软控股份9,650,633257,575,394.771.75
600415小商品城6,983,379244,697,600.161.66
300124汇川技术1,705,882238,618,774.161.62
600585海螺水泥7,306,856216,867,486.081.47
000661长春高新3,348,140203,566,912.001.38
000423东阿阿胶3,919,727200,298,049.701.36
002024苏宁云商14,000,000183,400,000.001.25
000926福星股份13,079,904176,317,105.921.20
600079人福医药6,260,358159,513,921.841.08
600694大商股份3,055,831144,815,831.090.98
600298安琪酵母2,879,296127,495,226.880.87
002081金螳螂1,447,84099,582,435.200.68
600418江淮汽车9,123,87696,986,801.880.66
002055得润电子3,236,27588,771,023.250.60
600029南方航空8,747,42885,199,948.720.58
002497雅化集团1,902,89680,492,500.800.55
600372中航电子2,503,23279,928,197.760.54
600439瑞贝卡5,628,74773,680,298.230.50
600970中材国际1,750,88871,278,650.480.48
002254泰和新材1,752,81959,753,599.710.41
600516方大炭素4,156,92058,238,449.200.40
601318中国平安1,000,00056,160,000.000.38
300101国腾电子428,86546,343,151.900.32
600060海信电器4,000,00046,200,000.000.31
600276恒瑞医药724,33943,141,630.840.29
600261阳光照明1,019,55543,137,372.050.29
000639西王食品1,269,43542,196,019.400.29
600292中电远达2,144,54841,068,094.200.28
300024机器人700,00040,439,000.000.27
300070碧水源312,58839,073,500.000.27
000550江铃汽车1,211,96233,377,433.480.23
300002神州泰岳536,47829,983,755.420.20
002437誉衡药业385,37529,666,167.500.20
600750江中药业799,12028,792,293.600.20
300011鼎汉技术700,52728,133,164.320.19
600809山西汾酒399,91427,406,106.420.19
600869远东电缆799,95220,550,766.880.14
000527美的电器(退市)1,113,28619,371,176.400.13
000951中国重汽643,91017,810,550.600.12
002271东方雨虹449,98217,729,290.800.12
600256广汇能源378,24315,859,728.990.11
600812华北制药999,99615,709,937.160.11
000417合肥百货600,00011,640,000.000.08
002485希努尔364,64010,064,064.000.07
600518康美药业433,0008,534,430.000.06
600132重庆啤酒166,8409,247,941.200.06
600468百利电气214,9697,730,285.240.05
600143金发科技405,1926,527,643.120.04
600697欧亚集团241,6006,136,640.000.04
300005探路者28,000959,560.000.01
600315上海家化19,500724,035.000.00
债券持仓数据截止日期:2010-12-31
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(%)
08041308农发134,000,000399,440,000.002.72
080104108央行票据413,700,000371,258,000.002.52
08022208国开223,600,000355,320,000.002.42
01021501国开153,500,000350,805,000.002.38
100101710央行票据173,000,000293,550,000.002.00