融通蓝筹成长混合A/B 161605
混合型基金R3 中风险
1.3490
单位净值
0.67%
日涨跌幅(2025-06-25)
3.0970
累计净值
微信扫码关注
资产配置数据截止日期:2003-12-31
项目金额(元)占基金总资产的比例(%)
合计--100.00
银行存款----
债券----
买入返售证券----
其它资产----
股票415,513,219.27--
行业投资数据截止日期:2003-12-31
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C131,823,413.5716.24
交通运输、仓储业F78,973,911.209.73
信息技术业G61,590,926.737.59
机械、设备、仪表C750,424,467.376.21
采掘业B38,484,946.404.74
电子C536,087,997.904.45
传播与文化产业L34,850,688.644.29
金属、非金属C629,195,642.103.60
综合类M20,695,791.602.55
电力、煤气及水的生产和供应业D17,155,724.882.11
批发和零售贸易H15,475,916.251.91
金融、保险业I11,307,200.001.39
医药、生物制品C85,729,440.000.71
石油、化学、塑胶、塑料C45,568,172.000.69
建筑业E4,981,280.000.61
食品、饮料C04,817,694.200.59
农、林、牧、渔业A173,420.000.02
股票持仓数据截止日期:2003-12-31
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(%)
600050中国联通14,329,96156,316,747.006.94
600029南方航空8,800,00043,560,000.005.37
600037歌华有线1,441,78825,115,947.003.10
000927一汽夏利2,739,52224,436,536.003.01
000068华控赛格2,839,25224,105,249.002.97
600832东方明珠1,425,33020,695,792.002.55
600900长江电力1,976,46617,155,725.002.11
600362江西铜业2,171,44516,893,842.002.08
600028中国石化3,266,27216,168,046.001.99
600026中海发展1,722,71214,815,323.001.83
600500中化国际1,593,37513,623,356.001.68
000800一汽轿车1,229,00012,437,480.001.53
600019宝钢股份1,740,00012,301,800.001.52
600428中远航运1,280,00011,520,000.001.42
600015华夏银行1,480,00011,307,200.001.39
600602仪电电子997,69410,405,948.001.28
600088中视传媒1,051,2689,734,742.001.20
600348阳泉煤业550,0006,495,500.000.80
600115东方航空1,487,3006,172,295.000.76
600508上海能源500,0005,840,000.000.72
600688上海石化950,2005,568,172.000.69
600188兖州煤业500,0005,440,000.000.67
000581威孚高科468,0005,382,000.000.66
000839中信国安376,0005,143,680.000.63
600545新疆城建652,0004,981,280.000.61
600519贵州茅台189,6734,817,694.000.59
000968煤气化580,0004,541,400.000.56
600085同仁堂222,2003,821,840.000.47
600072中船股份516,8902,780,868.000.34
600104上汽集团196,7092,708,683.000.33
600004白云机场260,3002,319,273.000.29
600812华北制药380,0001,907,600.000.24
600171上海贝岭180,0001,576,800.000.19
600416湘电股份200,0001,498,000.000.18
600785新华百货150,0001,267,500.000.16
600183生益科技130,0001,046,500.000.13
600896中海海盛98,000587,020.000.07
600825新华传媒58,800585,060.000.07
600540新赛股份26,000173,420.000.02
600340华夏幸福15,000134,400.000.02
600446金证股份7,000112,840.000.01
600570恒生电子1,00017,660.000.00
债券持仓数据截止日期:2003-12-31
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