融通动力先锋混合A/B 161609
混合型基金R4 中高风险
1.5200
单位净值
2.29%
日涨跌幅(2026-04-01)
2.8630
累计净值
微信扫码关注
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(%)
股票2,691,654,441.2879.24
合计3,396,982,322.78100.00
债券241,175,000.007.10
银行存款450,250,794.1013.25
其它资产13,902,087.400.41
买入返售证券----
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C1,366,641,550.9540.43
金融、保险业I625,400,299.6618.50
机械、设备、仪表C7430,820,818.1912.74
食品、饮料C0411,370,810.5012.17
医药、生物制品C8263,361,385.837.79
金属、非金属C6192,389,620.295.69
信息技术业G158,928,730.784.70
批发和零售贸易H140,490,734.284.16
采掘业B138,929,625.044.11
房地产业J122,250,417.033.62
社会服务业K108,126,305.643.20
电子C540,027,630.501.18
传播与文化产业L20,846,777.900.62
石油、化学、塑胶、塑料C412,068,000.000.36
纺织、服装、皮毛C110,521,651.640.31
建筑业E10,040,000.000.30
造纸、印刷C36,081,634.000.18
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(%)
600519贵州茅台1,800,000195,660,000.005.79
000568泸州老窖9,547,949173,772,671.805.14
000538云南白药4,000,000137,640,000.004.07
000001平安银行14,549,920137,642,243.204.07
600000浦发银行9,076,104120,258,378.003.56
002024苏宁云商6,000,000107,460,000.003.18
600036招商银行8,600,000104,576,000.003.09
600690青岛海尔11,446,423102,903,342.773.04
000012南玻A12,008,334102,070,839.003.02
601318中国平安3,752,50099,778,975.002.95
601628中国人寿3,699,97369,004,496.452.04
600118中国卫星3,671,14165,236,175.571.93
000423东阿阿胶4,516,30160,970,063.501.80
000069华侨城A7,295,73859,679,136.841.77
600316洪都航空4,396,40059,571,220.001.76
000651格力电器3,000,00058,320,000.001.73
000983西山煤电4,917,52957,338,388.141.70
600550天威保变2,727,13755,006,353.291.63
000024招商地产3,994,82552,412,104.001.55
600585海螺水泥1,999,95351,858,781.291.53
600100同方股份5,034,49749,992,555.211.48
002183怡亚通2,510,21648,447,168.801.43
600875东方电气1,540,00045,907,400.001.36
002008大族激光6,842,33040,027,630.501.18
600048保利地产2,475,44535,646,408.001.05
601699潞安环能2,800,00034,972,000.001.03
601766中国南车7,999,90334,479,581.931.02
000402金融街4,493,02334,191,905.031.01
600016民生银行8,200,00033,374,000.000.99
601169北京银行3,699,91132,966,207.010.98
601601中国太保2,500,00027,800,000.000.82
000063中兴通讯1,000,00027,200,000.000.80
000061农产品1,538,24724,458,127.300.72
600395盘江股份1,999,93523,479,236.900.69
600583海油工程2,000,00023,140,000.000.68
600664哈药股份1,989,10022,238,138.000.66
600161天坛生物1,500,00021,780,000.000.64
600037歌华有线2,196,71020,846,777.900.62
600750江中药业1,856,14920,733,184.330.61
600169太原重工1,351,69919,194,125.800.57
002194武汉凡谷1,000,00016,500,000.000.49
000869张裕A323,20015,675,200.000.46
600761安徽合力2,200,00015,114,000.000.45
600005武钢股份3,000,00014,340,000.000.42
600702沱牌舍得2,444,61013,860,938.700.41
600231凌钢股份3,000,00013,290,000.000.39
600893航空动力1,300,00012,402,000.000.37
600089特变电工499,94911,938,782.120.35
000825太钢不锈3,000,00010,830,000.000.32
002029七匹狼1,000,15710,521,651.640.31
601186中国铁建1,000,00010,040,000.000.30
000800一汽轿车1,363,4469,789,542.280.29
600590泰豪科技2,000,0009,960,000.000.29
600268国电南自694,2508,636,470.000.26
000731四川美丰1,000,0006,390,000.000.19
002191劲嘉股份467,8186,081,634.000.18
000792盐湖股份100,0005,678,000.000.17
000501鄂武商A902,5994,531,046.980.13
000987广州友谊382,0004,041,560.000.12
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162,500,000241,175,000.007.13