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造业投资维持较高水位，消费持续回落，进出口持续回落，经济增速有所放缓，整体名义增速先上后下。货币环境先松后紧，债市流动性平稳，权益市场上半年整体略有上涨，固收市场表现较好，本基金权益仓位从中性提升至较高水平，选股方面相比中证800指数获得超额收益，债券方面维持较低的久期组合，赚取票息为主；可转债方面，考虑到当前转债市场整体估值较高，符合赚取稳健收益条件的个券并不多，因此仅少量参与。","declarationDate":"2023-07-19T16:00:00.000Z","lastUpdated":"2026-03-09T13:11:43.193Z","mo":"展望下半年，房地产投资大概率低位回暖，制造业投资有较大概率维持在高水位；消费仍然面临持续爬坡的态势。进口增速预期不明朗，但是美国货币政策的转向并不意味着需求的即期上行。我们对于经济整体仍然保持谨慎乐观，下行概率不大，货币政策我们认为流动性大幅放松的可能性不高，整体维持平稳的概率较大，基金经理对于下半年权益资产较为乐观，依然将维持较高仓位水平，并且优选低估值、有增长的个股，获取绝对收益；债券方面依然维持低久期的思路，获取稳定的票息收益。具体操作将根据最新的市场情况以及相应的宏观经济环境进行分析和应对，本文观点仅代表基金经理撰写时的观点。","fund":{"_id":3000000003186,"stockCode":"003186","stockType":"fund","areaCode":"cn","followedNum":0,"blackenedNum":0,"status":"normal","exchange":"jj","fundType":null,"ipoDate":"2016-08-28T16:00:00.000Z","setUpScale":1662410000,"market":"a","tickerId":3186,"name":"鹏华兴安定期开放灵活配置混合型证券投资基金","shortName":"鹏华兴安定期开放混合","fundSecondLevel":"hybrid","fundStatus":"normal","lastUpdated":"2026-07-24T21:23:28.629Z","inceptionDate":"2016-09-26T16:00:00.000Z","fundCollectionId":4000050060000,"currency":"CNY","pinyin":"phxadqkflhpzhhxzqtzjj","delistedDate":"2024-03-05T16:00:00.000Z","masterFundShortName":"鹏华兴安定期开放混合"},"announcement":{"linkText":"鹏华兴安定期开放灵活配置混合型证券投资基金2023年中期报告","linkUrl":"http://eid.csrc.gov.cn/fund/disclose/instance_show_pdf_id.do?instanceid=961312","linkType":"PDF","source":"csrc_pdf"}},{"_id":"69aec70f7fea5b3eb0463e80","date":"2023-03-30T16:00:00.000Z","stockId":3000000003186,"sao":"回顾一季度，海外经济整体维持回落态势，海外总需求较弱。国内方面，受疫情放开影响，房地产投资开始回暖，基建投资高位平稳，制造业投资维持较高水平，消费大幅回暖，进出口维持低位，经济增速大幅回暖，整体名义增速较四季度大概率大幅回升，但上述情况整体仍为去年四季度疫情影响的修复行为以及基数效应影响。货币方面，政策维持发力，但对信贷的支持力度逐渐强于货币，债市流动性有所收紧但仍偏宽松，权益市场流动性更相关的M1有所回暖。  这样的市场环境理应利多权益类资产、利空固收类资产。但一季度权益市场整体仅略涨，固收市场利率利率基本维持平稳。这既是源于去年四季度市场中蕴含了较多的乐观预期，也反映了市场在中期更关注经济的自然增长，而非短期事件带来的冲击与修复。  本基金以追求稳定收益为主要的投资策略，以较低比例的权益资产匹配适当组合久期的方式，在追求收益的同时控制基金净值的回撤幅度，同时基金参与新股的网下申购获取增强收益。","declarationDate":"2023-04-20T16:00:00.000Z","lastUpdated":"2026-03-09T13:11:43.190Z","fund":{"_id":3000000003186,"stockCode":"003186","stockType":"fund","areaCode":"cn","followedNum":0,"blackenedNum":0,"status":"normal","exchange":"jj","fundType":null,"ipoDate":"2016-08-28T16:00:00.000Z","setUpScale":1662410000,"market":"a","tickerId":3186,"name":"鹏华兴安定期开放灵活配置混合型证券投资基金","shortName":"鹏华兴安定期开放混合","fundSecondLevel":"hybrid","fundStatus":"normal","lastUpdated":"2026-07-24T21:23:28.629Z","inceptionDate":"2016-09-26T16:00:00.000Z","fundCollectionId":4000050060000,"currency":"CNY","pinyin":"phxadqkflhpzhhxzqtzjj","delistedDate":"2024-03-05T16:00:00.000Z","masterFundShortName":"鹏华兴安定期开放混合"},"announcement":{"linkText":"鹏华兴安定期开放灵活配置混合型证券投资基金2023年第1季度报告","linkUrl":"http://eid.csrc.gov.cn/fund/disclose/instance_show_pdf_id.do?instanceid=886535","linkType":"PDF","source":"csrc_pdf"}},{"_id":"69aec70f7fea5b3eb0463e7f","date":"2022-12-30T16:00:00.000Z","stockId":3000000003186,"sao":"2022年内外部的环境都经历了复杂变化。俄乌冲突和美联储加息为海外的主要影响事件；受疫情防控政策的影响，国内的经济压力较大，四季度后，防疫政策和地产政策都出现了较大变化，市场也随之触底反弹。从全年来看，权益市场呈现震荡下行走势，煤炭、交运和地产等价值板块表现较好。债券市场，收益率小幅下行。  具体操作方面，该基金始终坚持在控制回撤的前提下，追求稳定收益。债券配置品种以高评级短久期品种为主，股票方面，整体仓位维持中性水平，主要配置了养殖、地产、医药和出行链等板块。","declarationDate":"2023-01-19T16:00:00.000Z","lastUpdated":"2026-03-09T13:11:43.182Z","mo":"回顾2022年，海外经济自高位逐步回落，海外总需求自好变差，截至年底仍未见底。国内方面，房地产投资持续回落，基建投资开始发力，制造业投资整体处于中性水平，消费整体偏弱，进出口由好向弱转变，经济增速较前一年大幅回落，整体名义增速前一年大概率大幅回落。流动性方面，国内货币政策持续发力，货币流动性先松后紧，但整体仍偏宽松，央行的关注点从金融市场流动性逐渐转向信贷流动性。这样的经济与金融数据虽然是受基数以及阶段性疫情的影响，但经济整体处在下行周期中的现象仍是不可否认的。这样的市场环境理应利空权益类资产、利多固收类资产，全年的权益、债券市场的表现也基本与之相符。  展望2023年，疫情方面，虽然经济与市场阶段性仍然可能受到其影响，但我们的投研主要是基于偏中长期的研判、而非这类短期事件研判，短期事件带来的更多是加减仓加注的机会，而非整体走势中枢的影响。经济方面，房地产投资大概率低位回暖；基建投资高位回落；制造业投资仍待观察，可能受外需回落影响整体偏弱；消费大概率有所回暖；进出口增速受海外影响，下行风险仍然较大。整体来看，2023年经济会有一个先下后上的过程，整体大概率维持平稳；而基于我们的量化模型显示，当下大概率处于3-4年经济周期中下行周期的后期阶段，也即经济周期中压力最大的阶段，而在2023年二季度前后，经济周期的下行拐点可能发生，下半年经济或将进入上行周期。货币政策方面，在宽信用及海外高通胀的背景下，资金方面存在持续收紧的可能。当下出台的较多政策对房地产销售的影响可能将渐渐开始发酵，因此相关的以M1增速代表的实体流动性大概率开始出现上行迹象。  在上述假设下，基金经理判断2023年权益市场整体比较乐观，权益资产具备较强的性价比；但当下市场中蕴含的乐观预期过高，短期内发生下跌的风险并非不存在，短期内难言乐观；但这一切都将会随时间而好转，短期的下跌更多带来的是底部加仓的机会，相较于风险而言，收益将逐渐成为基金经理主要考虑的问题；而债券资产短期内大概率维持中性偏强的表现，但随着货币的收紧以及经济增速的接近底部，固收类资产的性价比将越来越低。  整体来看，2023年，本基金在权益仓位上将持一个整体较高的水平，初期较低，后随权益市场的下行逐渐抬高权益仓位，并争取于一季度末前后抬升至基金经理认为的偏高水平附近，并维持至接近年终；组合久期方面，则在利率上行的过程中缓慢抬升组合久期的思路为主。但具体操作都将根据解释最新的市场情况以及相应宏观经济环境进行分析及应对，本文观点仅代表基金经理撰写时的观点。","fund":{"_id":3000000003186,"stockCode":"003186","stockType":"fund","areaCode":"cn","followedNum":0,"blackenedNum":0,"status":"normal","exchange":"jj","fundType":null,"ipoDate":"2016-08-28T16:00:00.000Z","setUpScale":1662410000,"market":"a","tickerId":3186,"name":"鹏华兴安定期开放灵活配置混合型证券投资基金","shortName":"鹏华兴安定期开放混合","fundSecondLevel":"hybrid","fundStatus":"normal","lastUpdated":"2026-07-24T21:23:28.629Z","inceptionDate":"2016-09-26T16:00:00.000Z","fundCollectionId":4000050060000,"currency":"CNY","pinyin":"phxadqkflhpzhhxzqtzjj","delistedDate":"2024-03-05T16:00:00.000Z","masterFundShortName":"鹏华兴安定期开放混合"},"announcement":{"linkText":"鹏华兴安定期开放灵活配置混合型证券投资基金2022年年度报告","linkUrl":"http://eid.csrc.gov.cn/fund/disclose/instance_show_pdf_id.do?instanceid=868856","linkType":"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