融通行业景气混合A/B161606
混合型基金R3 中风险
1.4330
单位净值
0.35%
日涨跌幅(2025-06-18)
3.3980
累计净值
微信扫码关注
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(%)
银行存款147,888,472.286.33
买入返售证券----
其它资产69,846,075.412.99
合计2,337,391,100.08100.00
股票1,990,387,552.3985.15
债券129,269,000.005.53
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C1,298,459,489.6255.81
房地产业K185,552,862.347.98
信息传输、软件和信息技术服务业I161,776,084.686.95
租赁和商务服务业L137,501,939.105.91
交通运输、仓储和邮政业G68,680,000.002.95
金融业J45,957,807.771.98
文化、体育和娱乐业R44,472,200.001.91
采矿业B24,188,120.881.04
建筑业E23,799,048.001.02
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(%)
601633长城汽车3,590,823127,186,950.665.47
000625长安汽车12,643,340117,456,628.605.05
600383金地集团15,016,055103,010,137.304.43
600535天士力2,461,89096,382,993.504.14
600406国电南瑞6,000,00089,580,000.003.85
000661长春高新847,75083,003,202.503.57
000024招商地产3,399,61882,542,725.043.55
002241歌尔声学2,208,96780,163,412.433.45
000400许继电气2,897,86478,474,157.123.37
300058蓝色光标1,724,30371,903,435.103.09
600221海南航空34,000,00068,680,000.002.95
002292奥飞动漫2,508,23656,159,404.042.41
300145南方泵业1,976,30348,360,134.412.08
300273和佳股份2,227,89947,721,596.582.05
601336新华保险1,859,88745,957,807.771.98
002236大华股份1,200,00045,876,000.001.97
300228富瑞特装555,91244,472,960.001.91
600066宇通客车2,395,12743,902,677.911.89
002344海宁皮城2,000,00038,220,000.001.64
300024机器人1,000,18137,156,724.151.60
600633浙报传媒2,390,00035,921,700.001.54
000726鲁泰A4,221,76235,631,671.281.53
300124汇川技术1,019,62735,676,748.731.53
300088长信科技1,680,00035,431,200.001.52
002106莱宝高科2,200,00033,770,000.001.45
300136信维通信1,354,10932,904,848.701.41
002042华孚色纺6,139,70832,417,658.241.39
300168万达信息1,185,60031,999,344.001.38
002138顺络电子1,759,79131,676,238.001.36
601888中国国旅937,62027,378,504.001.18
000063中兴通讯1,999,90525,498,788.751.10
600583海油工程3,738,50424,188,120.881.04
601117中国化学2,499,90023,799,048.001.02
600703三安光电1,199,93523,566,723.401.01
300212易华录739,74022,192,200.000.95
600315上海家化420,00018,895,800.000.81
002271东方雨虹987,30818,265,198.000.79
300170汉得信息793,85118,004,540.680.77
002475立讯精密780,00016,380,000.000.70
600085同仁堂560,81412,270,610.320.53
000012南玻A1,250,00011,587,500.000.50
002005德豪润达1,165,73110,841,298.300.47
300133华策影视350,0008,550,500.000.37
002385大北农818,9508,451,564.000.36
000527美的电器(退市)540,0006,706,800.000.29
002507涪陵榨菜100,0002,170,000.000.09
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(%)
13021813国开18800,00079,544,000.003.42
06022906国开29500,00049,725,000.002.14