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全球复苏动能趋弱，各国央行普遍进入降息周期。美国就业和通胀降温为降息创造条件，从经济周期和大类资产配置角度，过去两年股票是“高赔率、低胜率”资产，但在政策支持下，经济周期有望逐步迈向复苏，进而提高股票的胜率。随着央行创设结构性货币政策工具为市场提供流动性支持，中央政治局会议强调“要努力提振资本市场”，风险偏好的拐点或已确立，权益资产迎来重定价。东兴蓝海依然坚持大类资产配置策略，三季度我们依然保持了较高的权益仓位，后续继续根据行情演化情况利用择时动态调整权益仓位。根据宏观环境和市场的变化，投资思路不断改善、优化、进化，在中短期的不确定性中寻找长期的确定性。东兴基金作为本基金管理人，在兼顾流动性充裕、风险可控的前提下，努力提升基金综合收益率。","declarationDate":"2024-10-24T16:00:00.000Z","lastUpdated":"2026-03-09T13:08:11.904Z","fund":{"_id":3000000002182,"stockCode":"002182","stockType":"fund","areaCode":"cn","followedNum":0,"blackenedNum":0,"status":"normal","exchange":"jj","fundType":null,"ipoDate":"2015-12-06T16:00:00.000Z","setUpScale":365119000,"market":"a","tickerId":2182,"custody":"中国农业银行股份有限公司","name":"东兴蓝海财富灵活配置混合型证券投资基金","shortName":"东兴蓝海财富混合(002182)","fundSecondLevel":"hybrid","__csrcFundId":4367,"fundStatus":"normal","lastUpdated":"2026-04-30T18:22:00.236Z","masterFundFlag":1,"inceptionDate":"2015-12-22T16:00:00.000Z","fundCollectionId":4000051940000,"currency":"CNY","masterFundShortName":"东兴蓝海财富混合","pinyin":"dxlhcflhpzhhxzqtzjj","managers":[{"stockCode":"db20800074","stockType":"fund_manager","exchange":"fm","tickerId":191325215450,"name":"司马义买买提"}]},"announcement":{"linkText":"东兴蓝海财富灵活配置混合型证券投资基金2024年第三季度报告","linkUrl":"http://eid.csrc.gov.cn/fund/disclose/instance_show_pdf_id.do?instanceid=1173907","linkType":"PDF","source":"csrc_pdf"}},{"_id":"69aec63b7fea5b3eb045492a","date":"2024-06-29T16:00:00.000Z","stockId":3000000002182,"sao":"上半年中国经济呈温和复苏态势，GDP同比增长 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1）行业角度：机会主要集中在新能源及其外溢相关的资产和部分半导体产业链中。这些板块都呈现出政策环境友好、短期高景气度、具备较好的赚钱效应。 2）市场风格角度：A股市场在2015年前是中小盘风格占优，而2017年到今年初表现的是大盘股风格占优。今年年初下跌以后，风格开始转换至小盘股，并贯穿全年。从成长和价值风格的维度来看，今年还是成长风格占优，并没有改变前两年的情况。但是市场对估值和公司质量的容忍度大幅提升，短期增速高的行业和公司显著占优，市值小的公司弹性更大。由于基金持仓一直是行业均衡配置，除了强周期板块配置较少外，整体维持均衡，面对今年这种机会主要集中在个别板块的极端行情，适应性不足。本基金在上半年重点配置了食品饮料、医药、新能源等行业景气度较高的板块，下半年适度减持了前期涨幅较大的消费、医药等板块，增配了房地产、建材、家电等受益于房地产政策调整的板块。","declarationDate":"2022-01-23T16:00:00.000Z","lastUpdated":"2026-03-09T13:08:11.875Z","mo":"宏观展望，2021年经济下行力量来自隐性债务收紧和地产主动调控之下建筑业的放缓，但出口偏强支撑，所以经济一直没有失速。2022年继续减速的风险来自偏高位的海外制造业库存与进口周期，房地产影响财政，出口影响就业。往前看，稳增长压力可能还会增加，而终端消费需求处于弱复苏状态。当前疫情仍然没有完全过去，就业和居民收入还需要进一步恢复，消费回升仍将偏慢。2022年对存量经济来说，随着明年初金融政策的调整，地产领域的边际企稳、基建投资的修复，传统部门杠杆率有望企稳。流动性展望，2021年货币政策基调中性偏松，狭义流动性一直维持着宽裕状态，但金融政策偏紧，属于宽货币紧信用。2022年至少在上半年央行货币政策的主线是稳信用，整体基调偏松，但是海外发达经济体的货币政策或进一步收敛进入加息周期。从市场本身的微观结构来看，最近几年在宏观经济转型背景下，很多行业比如：新能源、半导体、医药、军工等得到了政策的大力扶持，呈现出相对独立于宏观经济的高景气表现，这些行业取得了较大的绝对涨幅和市值占比的提升，主导产业的变迁在A股市场的映射是较为充分的，未来需要适当降低对市场收益率的预期。","fund":{"_id":3000000002182,"stockCode":"002182","stockType":"fund","areaCode":"cn","followedNum":0,"blackenedNum":0,"status":"normal","exchange":"jj","fundType":null,"ipoDate":"2015-12-06T16:00:00.000Z","setUpScale":365119000,"market":"a","tickerId":2182,"custody":"中国农业银行股份有限公司","name":"东兴蓝海财富灵活配置混合型证券投资基金","shortName":"东兴蓝海财富混合(002182)","fundSecondLevel":"hybrid","__csrcFundId":4367,"fundStatus":"normal","lastUpdated":"2026-04-30T18:22:00.236Z","masterFundFlag":1,"inceptionDate":"2015-12-22T16:00:00.000Z","fundCollectionId":4000051940000,"currency":"CNY","masterFundShortName":"东兴蓝海财富混合","pinyin":"dxlhcflhpzhhxzqtzjj","managers":[{"stockCode":"db20800074","stockType":"fund_manager","exchange":"fm","tickerId":191325215450,"name":"司马义买买提"}]},"announcement":{"linkText":"东兴蓝海财富灵活配置混合型证券投资基金2021年年度报告","linkUrl":"http://eid.csrc.gov.cn/fund/disclose/instance_show_pdf_id.do?instanceid=713371","linkType":"PDF","source":"csrc_pdf"}},{"_id":"69aec63b7fea5b3eb045491f","date":"2021-09-29T16:00:00.000Z","stockId":3000000002182,"sao":"2021年三季度A股市场整体偏震荡，市场结构性特征较为明显，市场总体风格偏向周期，由于双碳政策对高耗能行业的产能限制，上游煤炭、钢铁、电解铝等产能不足，导致供需关系紧张，商品价格大幅度上涨。行业层面，三季度涨幅居前的行业主要为：采掘、有色、钢铁、化工等周期性板块，食品饮料、医药等受行业监管政策的影响，跌幅较大。风格方面，小盘价值、周期风格相对占优。前期表现较好的医药、TMT有所回调，但是从基本面来看，并没有出现显著下滑。由于周期行情的可持续性较差，基金在三季度保持了持仓的稳定性，并未参与周期板块的轮动，同时适度增加了\"专精特新\"企业的配置。当前市场行业轮动频繁，投资者对未来的市场走向相对缺乏统一认知，导致市场风格频繁变化，领涨板块也不断切换。从行业基本面的角度来看，周期板块和TMT相对占优，消费板块基本面仍处于回落状态，但未来涨价预期有可能从上游行业向中下游蔓延。另外，当前政策鼓励的\"专精特新\"企业方向仍是中期投资布局的主要方向。当前时点往后看，宏观经济加速下行的趋势明显，本轮房地产行业的下行压力可能达到甚至超过2014年，叠加疫情后持续疲弱的居民消费，后续经济可能加速下行。宏观政策稳增长的压力越来越大，是否会有阶段性的风格切换，是市场当前关注的焦点。","declarationDate":"2021-10-26T16:00:00.000Z","lastUpdated":"2026-03-09T13:08:11.873Z","fund":{"_id":3000000002182,"stockCode":"002182","stockType":"fund","areaCode":"cn","followedNum":0,"blackenedNum":0,"status":"normal","exchange":"jj","fundType":null,"ipoDate":"2015-12-06T16:00:00.000Z","setUpScale":365119000,"market":"a","tickerId":2182,"custody":"中国农业银行股份有限公司","name":"东兴蓝海财富灵活配置混合型证券投资基金","shortName":"东兴蓝海财富混合(002182)","fundSecondLevel":"hybrid","__csrcFundId":4367,"fundStatus":"normal","lastUpdated":"2026-04-30T18:22:00.236Z","masterFundFlag":1,"inceptionDate":"2015-12-22T16:00:00.000Z","fundCollectionId":4000051940000,"currency":"CNY","masterFundShortName":"东兴蓝海财富混合","pinyin":"dxlhcflhpzhhxzqtzjj","managers":[{"stockCode":"db20800074","stockType":"fund_manager","exchange":"fm","tickerId":191325215450,"name":"司马义买买提"}]},"announcement":{"linkText":"东兴蓝海财富灵活配置混合型证券投资基金2021年第三季度报告","linkUrl":"http://eid.csrc.gov.cn/fund/disclose/instance_show_pdf_id.do?instanceid=653880","linkType":"PDF","source":"csrc_pdf"}},{"_id":"69aec63b7fea5b3eb045491e","date":"2021-06-29T16:00:00.000Z","stockId":3000000002182,"sao":"今年上半年以来，A股市场先大幅回调，然后在高景气的医药、新能源汽车、半导体等板块引领下反弹，市场结构性特征突出，结构上创业板指显著强于沪深300。市场结构分化较大，代表传统产业的沪深300和上证50持续调整，创业板持续反弹，并创出阶段性新高。当前国内流动性仍保持适度宽松，叠加市场对高景气板块的业绩预期，科技成长风格涨幅进一步扩大。下跌居前的行业有非银金融、房地产、家用电器、食品饮料等。基金在上半年适度增配了半导体、新能源板块，但是由于增配的幅度不够大，对基金净值的提升较为有限。另外，从市场风格来看，今年以来预期盈利增速越高的公司，股价表现越好，体现为非常典型的高增速占优的特征。市场对高估值的容忍度持续提升，由于今年企业盈利增速较高的多为中小市值公司，市场整体表现为中小市值公司占优，市场对公司质地和管理水平的要求阶段性淡化。","declarationDate":"2021-07-20T16:00:00.000Z","lastUpdated":"2026-03-09T13:08:11.870Z","mo":"展望下半年，由于宏观调控政策的影响，国内地产投资下滑叠加疫情影响下消费的恢复不及预期，国内宏观经济下半年面临较大的不确定性，国内货币环境预计保持中性偏宽松，下半年A股没有普遍性提升估值的动能，但同时下跌空间也较为有限，预计接下来数月大盘指数将维持震荡走势，A股下半年将呈现出波段性和结构性的投资机会，操作难度较大。基金将继续关注有业绩支撑的且具备高景气度的细分赛道，科技成长性价比仍然较高。从产业趋势的角度看，当前各国需要寻找新的经济增长点。在当前时点，新能源、半导体、医药及医疗服务具备较大的产业政策支持力度，行业景气度较高，短期调整后有望维持强势。","fund":{"_id":3000000002182,"stockCode":"002182","stockType":"fund","areaCode":"cn","followedNum":0,"blackenedNum":0,"status":"normal","exchange":"jj","fundType":null,"ipoDate":"2015-12-06T16:00:00.000Z","setUpScale":365119000,"market":"a","tickerId":2182,"custody":"中国农业银行股份有限公司","name":"东兴蓝海财富灵活配置混合型证券投资基金","shortName":"东兴蓝海财富混合(002182)","fundSecondLevel":"hybrid","__csrcFundId":4367,"fundStatus":"normal","lastUpdated":"2026-04-30T18:22:00.236Z","masterFundFlag":1,"inceptionDate":"2015-12-22T16:00:00.000Z","fundCollectionId":4000051940000,"currency":"CNY","masterFundShortName":"东兴蓝海财富混合","pinyin":"dxlhcflhpzhhxzqtzjj","managers":[{"stockCode":"db20800074","stockType":"fund_manager","exchange":"fm","tickerId":191325215450,"name":"司马义买买提"}]},"announcement":{"linkText":"东兴蓝海财富灵活配置混合型证券投资基金2021年中期报告","linkUrl":"http://eid.csrc.gov.cn/fund/disclose/instance_show_pdf_id.do?instanceid=634111","linkType":"PDF","source":"csrc_pdf"}},{"_id":"69aec63b7fea5b3eb045491d","stockId":3000000002182,"sao":"2021年一季度A股市场在创出阶段性新高后，由少数股票推动的极致结构性行情反转，核心资产（各行业头部优质公司）大幅调整，并且拖累指数下行。年初至今上涨趋势中，个股和行业波动较大，领涨行业从新能源到电子、银行、有色、钢铁多次轮换，虽然顺周期的部分行业比如：有色、煤炭、钢铁表现较好，但是本基金并不打算参与市场风格的轮动，仍然保持了基金持仓的稳定性。在后续市场展开反弹的过程中，基金逐步进行了仓位的调整，减仓了去年涨幅较大的光伏新能源、化工等，低估值的板块如：银行、地产、建筑等仍然继续坚定持有，基金仓位小幅下降。当下宏观经济背景和2010年较为相似，全球货币超发、经济复苏，带动大宗商品价格上行，随着通胀上行压力加大，货币政策边际收紧。由于上市公司业绩增长已成为市场一致预期，虽然当前市场业绩持续向好，但是股价表现以震荡消化估值为主，流动性边际变化和外部环境逐步成为市场核心变量，今年市场宽幅震荡的概率较大，难有大幅上涨，应当降低今年市场的收益预期。","date":"2021-03-30T16:00:00.000Z","declarationDate":"2021-04-21T16:00:00.000Z","lastUpdated":"2026-03-09T13:08:11.868Z","fund":{"_id":3000000002182,"stockCode":"002182","stockType":"fund","areaCode":"cn","followedNum":0,"blackenedNum":0,"status":"normal","exchange":"jj","fundType":null,"ipoDate":"2015-12-06T16:00:00.000Z","setUpScale":365119000,"market":"a","tickerId":2182,"custody":"中国农业银行股份有限公司","name":"东兴蓝海财富灵活配置混合型证券投资基金","shortName":"东兴蓝海财富混合(002182)","fundSecondLevel":"hybrid","__csrcFundId":4367,"fundStatus":"normal","lastUpdated":"2026-04-30T18:22:00.236Z","masterFundFlag":1,"inceptionDate":"2015-12-22T16:00:00.000Z","fundCollectionId":4000051940000,"currency":"CNY","masterFundShortName":"东兴蓝海财富混合","pinyin":"dxlhcflhpzhhxzqtzjj","managers":[{"stockCode":"db20800074","stockType":"fund_manager","exchange":"fm","tickerId":191325215450,"name":"司马义买买提"}]},"announcement":{"linkText":"东兴蓝海财富灵活配置混合型证券投资基金2021年第一季度报告","linkUrl":"http://eid.csrc.gov.cn/fund/disclose/instance_show_pdf_id.do?instanceid=572966","linkType":"PDF","source":"csrc_pdf"}},{"_id":"69aec63b7fea5b3eb045491c","stockId":3000000002182,"sao":"今年以来，A股市场在国内外疫情的影响下，波动起伏，在3月中下旬全球疫情最严重的阶段，市场情绪非常悲观，随后国内疫情逐步好转，国内宏观经济率先触底反弹。同时，海外市场为了应对疫情冲击，全球央行释放出大量流动性，较为宽松的货币政策推动全球市场逐步反弹。上半年受益于疫情冲击的医药和食品饮料表现较好，下半年受益于国内宏观经济复苏和海外出口的高端制造业、新能源、军工等板块表现较好。全年来看，市场结构性行情表现非常突出，部分景气度较高的行业和个股实现了较大的涨幅。本基金在上半年重点配置了食品饮料、医药、光伏、金融等行业景气度较高或者景气回升的板块，下半年适度减持了前期涨幅较大的医药、免税等板块，增配了受益于宏观经济复苏的早周期行业，比如：光伏、工程机械、家电、建材等。","date":"2020-12-30T16:00:00.000Z","declarationDate":"2021-01-21T16:00:00.000Z","lastUpdated":"2026-03-09T13:08:11.865Z","mo":"展望未来，全球疫苗的接种可能会较快的控制住疫情发展，国内疫情控制住之后，经济持续恢复，预计继续引领全球经济增长，人民币升值预期可能继续。国内继续加大开放，也继续加大改革力度，我国目前处于经济转型期，我们认为持续的改革开放也将逐步迎来收获期，也将为投资者创造更好的投资机遇，十四五规划也将是未来非常重要的政策和机遇。新冠肺炎疫情可能继续改变全球投资者行为，A股市场可能是全球投资者的重要配置资产。未来看改革会持续推进，目前股市估值仍然相对合理，经济企稳、企业利润恢复增长，长期来看，虽然短期内可能仍有震荡，但我们对后市保持乐观。","fund":{"_id":3000000002182,"stockCode":"002182","stockType":"fund","areaCode":"cn","followedNum":0,"blackenedNum":0,"status":"normal","exchange":"jj","fundType":null,"ipoDate":"2015-12-06T16:00:00.000Z","setUpScale":365119000,"market":"a","tickerId":2182,"custody":"中国农业银行股份有限公司","name":"东兴蓝海财富灵活配置混合型证券投资基金","shortName":"东兴蓝海财富混合(002182)","fundSecondLevel":"hybrid","__csrcFundId":4367,"fundStatus":"normal","lastUpdated":"2026-04-30T18:22:00.236Z","masterFundFlag":1,"inceptionDate":"2015-12-22T16:00:00.000Z","fundCollectionId":4000051940000,"currency":"CNY","masterFundShortName":"东兴蓝海财富混合","pinyin":"dxlhcflhpzhhxzqtzjj","managers":[{"stockCode":"db20800074","stockType":"fund_manager","exchange":"fm","tickerId":191325215450,"name":"司马义买买提"}]},"announcement":{"linkText":"东兴蓝海财富灵活配置混合型证券投资基金2020年年度报告","linkUrl":"http://eid.csrc.gov.cn/fund/disclose/instance_show_pdf_id.do?instanceid=557045","linkType":"PDF","source":"csrc_pdf"}},{"_id":"69aec63b7fea5b3eb045491b","stockId":3000000002182,"sao":"三季度A股市场开启了加速上涨，7月份在增量资金带动下开启一轮快速上涨行情，市场开始向低估值的顺周期板块切换，呈现明显的补涨特征，但随后市场受到高估值和风险偏好回落影响，部分强势行业和个股在三季度中旬开启了持续调整。回顾今年疫情以来市场各个板块上涨的逻辑，3月至5月份，领涨的是业绩确定性最高的必选消费，以及一定程度上对冲疫情风险的医药板块，以及部分经营确定性较高的优质赛道龙头公司。5月下旬到6月开启中报行情，涨的最多的是中报预期较好的行业，比如消费电子、建材、半导体等。三季度相对表现较强的行业轮换到汽车、建材、轻工、机械、化工等顺周期行业，但到9月中下旬，这些强势板块大多表现较差，这显示市场对顺周期板块的上涨到底是估值修复的补涨还是周期重启的上涨，仍然存在较大分歧。展望四季度，随着经济的持续修复以及传统生产旺季的来临，经济活动活跃度明显上升。9月制造业PMI达51.5%，连续7个月位于荣枯线之上，且较8月回升 0.5个百分点。其中，新出口订单、在手订单以及库存指标显著改善，显示国内需求仍处于改善趋势之中。整体来看，工业企业仍处于被动去库的扩张早期。但海外疫情的二次爆发，英国、法国等主要经济体重启防疫限制措施，使得海外经济修复节奏或面临趋缓。但中期视角下，A股盈利修复仍处于早期，A股上行仍然是非常确定的趋势。但当前A股市场主要板块之前的估值分化已经处于历史极值区间，与经济基本面相关的周期、金融等低估值板块有望出现持续修复，本基金将继续保持合理的仓位水平，重点配置金融、消费、优质成长等核心资产标的。","date":"2020-09-29T16:00:00.000Z","declarationDate":"2020-10-27T16:00:00.000Z","lastUpdated":"2026-03-09T13:08:11.863Z","fund":{"_id":3000000002182,"stockCode":"002182","stockType":"fund","areaCode":"cn","followedNum":0,"blackenedNum":0,"status":"normal","exchange":"jj","fundType":null,"ipoDate":"2015-12-06T16:00:00.000Z","setUpScale":365119000,"market":"a","tickerId":2182,"custody":"中国农业银行股份有限公司","name":"东兴蓝海财富灵活配置混合型证券投资基金","shortName":"东兴蓝海财富混合(002182)","fundSecondLevel":"hybrid","__csrcFundId":4367,"fundStatus":"normal","lastUpdated":"2026-04-30T18:22:00.236Z","masterFundFlag":1,"inceptionDate":"2015-12-22T16:00:00.000Z","fundCollectionId":4000051940000,"currency":"CNY","masterFundShortName":"东兴蓝海财富混合","pinyin":"dxlhcflhpzhhxzqtzjj","managers":[{"stockCode":"db20800074","stockType":"fund_manager","exchange":"fm","tickerId":191325215450,"name":"司马义买买提"}]},"announcement":{"linkText":"东兴蓝海财富灵活配置混合型证券投资基金2020年第3季度报告","linkUrl":"http://eid.csrc.gov.cn/fund/disclose/instance_show_pdf_id.do?instanceid=489911","linkType":"PDF","source":"csrc_pdf"}},{"_id":"69aec63b7fea5b3eb045491a","stockId":3000000002182,"sao":"今年上半年以来，A股市场在国内外疫情好转后，逐步反弹，随着国内逐步下调防控响应级别，国内宏观经济触底反弹。近期高频数据显示，经济回暖复苏的趋势明显，制造业投资增速，地产和基建开工率都很积极，从而带动发电耗煤数等高频数据出现同比增长的态势。同时随着海外复工复产，尤其是疫情恢复较好的欧洲经济有所修复，英国、法国6月PMI数据重回荣枯线以上，欧元区6月PMI数据同样超预期，外需大概率也已度过最低点。在需求回暖逐步确认的背景下，政策态度也出现了变化。目前十年期国债收益率已经从2.4%回升到2.8%以上，债券市场持续调整。目前国内经济数据早已确认经济进入复苏的早周期，但是国内股票市场的机构投资者依然不认可经济复苏逻辑，依然在高估值、弱周期的医药、食品饮料板块进行防御。其实当前制造业和基建等领域的恢复较快，反而是偏消费的终端需求恢复较慢。我们认为当前的投资时钟已经进入经济回升、通胀低迷的早周期阶段，大类资产配置角度股票优于债券，另外与经济基本面相关的周期板块有望在经济恢复、估值处于历史底部的双重推动下出现大幅反弹，因此基金重点配置了非银、金融、消费以及部分估值合理的优质成长股等标的。","date":"2020-06-29T16:00:00.000Z","declarationDate":"2020-07-20T16:00:00.000Z","lastUpdated":"2026-03-09T13:08:11.860Z","mo":"展望未来，全球最大的变量仍然是新冠肺炎疫情，从目前来看，国内疫情控制住之后，经济已经恢复到正常水平。国内也正加大改革力度，针对出现的新情况做一些改革安排，我国目前处于经济转型期，各种改革正持续不断的推进，我们认为无论是国企改革和政治经济改革方面都将逐步迎来收获期，也为投资者创造更好的投资机遇。未来看改革会持续推进，目前股市估值仍然相对较低，经济企稳、企业利润增速触底提升的预期较高，长期来看，我们对后市保持乐观。未来一段时间本基金仍将以价值投资为导向，精选一些低估值、良好盈利能力和充分受益于改革推进的优质企业进行投资。科创板成功推出，支持新经济的情况下，未来新经济也具有较好的战略配置价值。","fund":{"_id":3000000002182,"stockCode":"002182","stockType":"fund","areaCode":"cn","followedNum":0,"blackenedNum":0,"status":"normal","exchange":"jj","fundType":null,"ipoDate":"2015-12-06T16:00:00.000Z","setUpScale":365119000,"market":"a","tickerId":2182,"custody":"中国农业银行股份有限公司","name":"东兴蓝海财富灵活配置混合型证券投资基金","shortName":"东兴蓝海财富混合(002182)","fundSecondLevel":"hybrid","__csrcFundId":4367,"fundStatus":"normal","lastUpdated":"2026-04-30T18:22:00.236Z","masterFundFlag":1,"inceptionDate":"2015-12-22T16:00:00.000Z","fundCollectionId":4000051940000,"currency":"CNY","masterFundShortName":"东兴蓝海财富混合","pinyin":"dxlhcflhpzhhxzqtzjj","managers":[{"stockCode":"db20800074","stockType":"fund_manager","exchange":"fm","tickerId":191325215450,"name":"司马义买买提"}]},"announcement":{"linkText":"东兴蓝海财富灵活配置混合型证券投资基金2020年中期报告","linkUrl":"http://eid.csrc.gov.cn/fund/disclose/instance_show_pdf_id.do?instanceid=461807","linkType":"PDF","source":"csrc_pdf"}}]}