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回顾2024年，组合整体保持了行业较为均衡的配置。上半年主要配置了港股互联网、食品饮料、有色、电子、石油石化、快递等行业。下半年，逐渐减持了有色、石油石化等行业，增加了互联网、必须性消费、电子等行业的配置比例。尤其是在8月份以后，增持了受益于国内以旧换新、支出补贴等政策的电动两轮车、商贸零售等公司。","declarationDate":"2025-01-21T16:00:00.000Z","lastUpdated":"2026-03-09T13:56:35.719Z","mo":"展望2025年，全球经济预计将延续复苏态势，但各国复苏步伐不一。中国经济将继续坚持稳中求进的总基调，预计GDP增速保持在5%左右。科技创新、制造业升级、内需复苏将继续成为经济增长的新引擎。预计2025年国内流动性将保持合理充裕，社会融资规模增速稳中有升，为实体经济提供有力支持。资本市场基础制度进一步完善，退市制度改革、上市公司质量提升、投资者保护力度加大等措施将有助于构建更加健康的资本市场生态。预计我国仍将会有积极的产业政策出台，支持科技创新、数字经济、制造业升级等领域，推动经济结构优化升级，并带来潜在的投资机会。人工智能、半导体、新能源、数字经济等科技创新领域将继续保持高景气度。人工智能与实体经济开始融合，AI应用开始渗透各行各业，将催生新的商业模式和投资机会。政策支持下的内需行业仍处于复苏的通道。国家大力支持“专精特新”企业发展，鼓励制造业升级，将打造更多具有全球竞争力的企业。整体来看，我们将保持积极乐观的心态，把握结构性投资机会，重点关注科技创新、内需复苏、制造业升级等领域的投资机会。同时将密切关注宏观经济形势、政策动向和市场热点，适时调整组合策略。","fund":{"_id":3000000015963,"__csrcFundId":11616,"stockCode":"015963","shortName":"汇安品质优选混合A","masterFundShortName":"汇安品质优选混合","fundSecondLevel":"hybrid","stockType":"fund","areaCode":"cn","market":"a","tickerId":15963,"currency":"CNY","masterFundFlag":1,"lastUpdated":"2025-01-01T23:59:37.397Z","status":"normal","exchange":"jj","fundCollectionId":4000051300000,"inceptionDate":"2022-08-29T16:00:00.000Z","name":"汇安品质优选混合型证券投资基金","followedNum":0,"setUpDate":"2022-08-29T16:00:00.000Z","setUpAssetScale":293697622.44,"setUpShares":293697622.44,"pinyin":"hapzyxhhxzqtzjj","managers":[{"stockCode":"8801390221","stockType":"fund_manager","exchange":"fm","tickerId":231923140110,"name":"吴尚伟"}]},"announcement":{"linkText":"汇安品质优选混合型证券投资基金2024年年度报告","linkUrl":"http://eid.csrc.gov.cn/fund/disclose/instance_show_pdf_id.do?instanceid=1257212","linkType":"PDF","source":"csrc_pdf"}},{"_id":"69aed1937fea5b3eb051fc9c","date":"2024-09-29T16:00:00.000Z","stockId":3000000015963,"sao":"回顾三季度，A股市场先抑后扬，指数收涨，港股市场也表现较好，恒生科技指数上涨较多。分行业来看，涨幅靠前的行业有非银金融、房地产、传媒、计算机等，涨幅靠后的行业是石油石化、公用事业、煤炭、农林牧渔、有色金属等。宏观经济层面，三季度整体供需都有所走弱。外需韧性仍强，但内需回落，供给也有所放缓，内需的不足对供给端的约束有所显现。外需方面，三季度美国经济出现放缓迹象，但幅度可能比较温和，再叠加可能的“抢出口”支撑，指向未来几个月我国出口可能仍有韧性，但读数可能会有所回落。9月美联储降息50个基点，市场对年内降息幅度预期仍有不确定性。政策方面，9月底，金融监管机构发布一揽子增量政策，包括降准、降息、降低存量房贷利率、降低二套房首付比、创设新的货币政策工具支持资本市场稳定发展等。重要会议分析研究当前经济形势，部署下一步经济工作，大幅提振了市场信心。三季度，组合的配置结构保持了稳定，结合中报情况对个股进行了一些调整，并在9月底提高了仓位，增加了顺周期行业配置。","declarationDate":"2024-10-24T16:00:00.000Z","lastUpdated":"2026-03-09T13:56:35.717Z","fund":{"_id":3000000015963,"__csrcFundId":11616,"stockCode":"015963","shortName":"汇安品质优选混合A","masterFundShortName":"汇安品质优选混合","fundSecondLevel":"hybrid","stockType":"fund","areaCode":"cn","market":"a","tickerId":15963,"currency":"CNY","masterFundFlag":1,"lastUpdated":"2025-01-01T23:59:37.397Z","status":"normal","exchange":"jj","fundCollectionId":4000051300000,"inceptionDate":"2022-08-29T16:00:00.000Z","name":"汇安品质优选混合型证券投资基金","followedNum":0,"setUpDate":"2022-08-29T16:00:00.000Z","setUpAssetScale":293697622.44,"setUpShares":293697622.44,"pinyin":"hapzyxhhxzqtzjj","managers":[{"stockCode":"8801390221","stockType":"fund_manager","exchange":"fm","tickerId":231923140110,"name":"吴尚伟"}]},"announcement":{"linkText":"汇安品质优选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=1178095","linkType":"PDF","source":"csrc_pdf"}},{"_id":"69aed1937fea5b3eb051fc9b","date":"2024-06-29T16:00:00.000Z","stockId":3000000015963,"sao":"2024年上半年，我国GDP同比增长5.0%；其中二季度增长4.7%，增速比一季度有所回落。分析来看，二季度经济增速回落有极端天气、雨涝灾害多发等短期因素影响。二季度总量指标规模依然十分可观，其中经济体量超32万亿元，工业增加值、货物进出口总额都超10万亿元。回顾上半年，国内需求持续恢复。社会消费品零售总额同比增长3.7%，其中服务零售额同比增长7.5%。全国固定资产投资同比增长3.9%，虽然房地产投资低位运行，但基础设施和制造业投资分别增长5.4%和9.5%，处于持续温布复苏的通道。上半年，外部需求有所改善。货物进出口总额同比增长6.1%。其中，二季度外贸同比增速较一季度和去年四季度分别提高2.5个和5.7个百分点，季度走势持续向好。上半年，全国居民消费价格指数（CPI）同比上涨0.1%，扣除食品和能源价格的核心CPI同比上涨0.7%，保持温和上涨。2024年上半年，上证指数半年收跌0.25%，上证50、沪深300指数分别收涨2.95%、0.89%，创业板指数下跌10.99%。回顾上半年行情，A股市场整体呈现先抑后扬、再调整的走势。回顾上半年市场表现，高股息板块如银行、资源品及公用事业等行业的涨幅靠前，周期行业大致持平，成长及消费行业跌幅较大。市场风格来看，大市值公司表现优于中小市值公司。上半年，组合的行业配置更加均衡，仓位上小幅下降，减持了一些行业承受压力的消费股，增加了电子、通信、有色和港股等板块的配置比例。","declarationDate":"2024-07-18T16:00:00.000Z","lastUpdated":"2026-03-09T13:56:35.714Z","mo":"今年特别是进入二季度以来，一系列政策举措密集出台，预计政策效应将持续显现。扩内需政策持续加力，推动大规模设备更新和消费品以旧换新行动方案将逐渐产生效果，发行超长期特别国债，既可以拉动当前投资和消费，又能夯实长期高质量发展基础。展望下半年，GDP增速预计保持稳定，经济指标显示政策有望继续支持，货币政策和财政政策均有积极预期，市场虽有波动但系统性风险低，权益市场有潜在上行机会。行业层面，经历连续上涨之后，有些红利行业的估值吸引力下降，但是在供给侧刚性、内外需变量增加及“资产荒”背景下，部分红利行业依然有一定配置价值；另一方面，在经历年初流动性扰动及海外映射逻辑减弱后，科技行业并无明显超涨，当前行业的景气虽未扩散，但部分细分领域的较高景气度仍值得重点关注。持续的政策措施作用和外部不确定性增加的背景下，需要对内需的企稳回升保持关注。","fund":{"_id":3000000015963,"__csrcFundId":11616,"stockCode":"015963","shortName":"汇安品质优选混合A","masterFundShortName":"汇安品质优选混合","fundSecondLevel":"hybrid","stockType":"fund","areaCode":"cn","market":"a","tickerId":15963,"currency":"CNY","masterFundFlag":1,"lastUpdated":"2025-01-01T23:59:37.397Z","status":"normal","exchange":"jj","fundCollectionId":4000051300000,"inceptionDate":"2022-08-29T16:00:00.000Z","name":"汇安品质优选混合型证券投资基金","followedNum":0,"setUpDate":"2022-08-29T16:00:00.000Z","setUpAssetScale":293697622.44,"setUpShares":293697622.44,"pinyin":"hapzyxhhxzqtzjj","managers":[{"stockCode":"8801390221","stockType":"fund_manager","exchange":"fm","tickerId":231923140110,"name":"吴尚伟"}]},"announcement":{"linkText":"汇安品质优选混合型证券投资基金2024年中期报告","linkUrl":"http://eid.csrc.gov.cn/fund/disclose/instance_show_pdf_id.do?instanceid=1152049","linkType":"PDF","source":"csrc_pdf"}},{"_id":"69aed1937fea5b3eb051fc9a","date":"2024-03-30T16:00:00.000Z","stockId":3000000015963,"sao":"回顾整个一季度，全A指数小幅下跌2.85%。主要宽基指数涨跌分化，其中，上证50、沪深300、上证指数实现上涨，而科创50和中证1000跌幅稍深。今年年初，在美联储降息时点推迟、国内经济修复斜率偏缓的影响下，风险偏好相对低迷，叠加微盘股的阶段性流动性困难，市场呈现明显回调。进入2月，随着稳增长政策持续加码，监管层出台一系列旨在稳定市场的举措，A股市场开启反弹行情，尤其是成长板块在经历前期深度回调后反弹更大。3月市场信心继续修复，主要宽基指数延续震荡修复态势。一季度，规模以上工业增加值增长有所提速，表明各项政策的持续落地显现效果。3月制造业PMI为50.8%，较前值回升1.7个百分点，表明制造业景气度有所回升，预计具备可持续性。从投资端来看，一季度固定资产投资的数据也有所回升，其中新动能领域投资、民生补短板投资和大项目带动明显。社会消费品零售总额数据持续恢复，服务消费的潜力得到释放。经济持续恢复、就业收入稳定增长，为扩大居民消费能力创造了有利条件；全国“两会”对促进消费、稳定增长做出了具体安排，政策效应预计将会持续释放。一季度，我们保持了组合的仓位和结构的基本稳定，配置的行业聚焦在了大消费、电子、医药、汽车、有色等行业。考虑到企业的经营现状、估值水平和发展前景，我们增加了港股公司的配置比例。","declarationDate":"2024-04-19T16:00:00.000Z","lastUpdated":"2026-03-09T13:56:35.711Z","fund":{"_id":3000000015963,"__csrcFundId":11616,"stockCode":"015963","shortName":"汇安品质优选混合A","masterFundShortName":"汇安品质优选混合","fundSecondLevel":"hybrid","stockType":"fund","areaCode":"cn","market":"a","tickerId":15963,"currency":"CNY","masterFundFlag":1,"lastUpdated":"2025-01-01T23:59:37.397Z","status":"normal","exchange":"jj","fundCollectionId":4000051300000,"inceptionDate":"2022-08-29T16:00:00.000Z","name":"汇安品质优选混合型证券投资基金","followedNum":0,"setUpDate":"2022-08-29T16:00:00.000Z","setUpAssetScale":293697622.44,"setUpShares":293697622.44,"pinyin":"hapzyxhhxzqtzjj","managers":[{"stockCode":"8801390221","stockType":"fund_manager","exchange":"fm","tickerId":231923140110,"name":"吴尚伟"}]},"announcement":{"linkText":"汇安品质优选混合型证券投资基金2024年第一季度报告","linkUrl":"http://eid.csrc.gov.cn/fund/disclose/instance_show_pdf_id.do?instanceid=1074253","linkType":"PDF","source":"csrc_pdf"}},{"_id":"69aed1937fea5b3eb051fc99","date":"2023-12-30T16:00:00.000Z","stockId":3000000015963,"sao":"回顾2023年， 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回顾全年操作，仓位水平基本稳定，配置了包括大消费、医疗健康、传媒、电子、军工等行业。具体来看，年初消费与出行快速恢复，我们增持了消费品、机械制造、TMT等行业；下半年保持了组合的基本稳定，在经济弱复苏的背景下更加重视个股的基本面跟踪，以此为依据做持仓的调整。","declarationDate":"2024-01-19T16:00:00.000Z","lastUpdated":"2026-03-09T13:56:35.709Z","mo":"经济正处于温和复苏的阶段，稳经济稳市场政策频出，以沪深300指数为代表的市场经过不断的调整，从横向和纵向维度来看都处在低估的水平，市场的吸引力逐渐增强。当前位置，我们的组合配置首先关注个股的风险收益比，其次优选竞争格局较好、需求确定性较高的行业进行持续跟踪和重点配置，我们也关注技术的创新与突破带来的新的投资机会。","fund":{"_id":3000000015963,"__csrcFundId":11616,"stockCode":"015963","shortName":"汇安品质优选混合A","masterFundShortName":"汇安品质优选混合","fundSecondLevel":"hybrid","stockType":"fund","areaCode":"cn","market":"a","tickerId":15963,"currency":"CNY","masterFundFlag":1,"lastUpdated":"2025-01-01T23:59:37.397Z","status":"normal","exchange":"jj","fundCollectionId":4000051300000,"inceptionDate":"2022-08-29T16:00:00.000Z","name":"汇安品质优选混合型证券投资基金","followedNum":0,"setUpDate":"2022-08-29T16:00:00.000Z","setUpAssetScale":293697622.44,"setUpShares":293697622.44,"pinyin":"hapzyxhhxzqtzjj","managers":[{"stockCode":"8801390221","stockType":"fund_manager","exchange":"fm","tickerId":231923140110,"name":"吴尚伟"}]},"announcement":{"linkText":"汇安品质优选混合型证券投资基金2023年年度报告","linkUrl":"http://eid.csrc.gov.cn/fund/disclose/instance_show_pdf_id.do?instanceid=1059236","linkType":"PDF","source":"csrc_pdf"}},{"_id":"69aed1937fea5b3eb051fc98","date":"2023-09-29T16:00:00.000Z","stockId":3000000015963,"sao":"三季度，A股宽基指数普遍下跌，其中上证指数下跌2.86%，深证成指下跌8.32%，沪深300下跌3.98%，创业板指数下跌9.53%。三季度，宏观经济温和复苏，居民消费价格单月同比7月转负后8月回升至0附近，工业生产者出厂价格单月同比降幅持续收窄并在九月回升至荣枯线以上。人民币兑美元汇率三季度总体仍小幅贬值，人民币资产的价格承压。三季度，稳经济、扩需求、提信心的各项政策陆续推出，助力经济回升，且后续逐渐进入效果验证期。三季度，投资者信心在政策呵护与经济企稳的双重作用下，逐渐增强，但市场波动仍然较大，呈现出景气驱动、行业结构明显分化的走势，市场整体处于震荡筑底阶段。分行业来看，三季度TMT板块依然表现强势，零售、美护和电力设备跌幅居多。三季度组合保持了仓位的基本稳定，重点配置了大消费、高端制造、电子、计算机、化工新材料等行业。","declarationDate":"2023-10-24T16:00:00.000Z","lastUpdated":"2026-03-09T13:56:35.706Z","fund":{"_id":3000000015963,"__csrcFundId":11616,"stockCode":"015963","shortName":"汇安品质优选混合A","masterFundShortName":"汇安品质优选混合","fundSecondLevel":"hybrid","stockType":"fund","areaCode":"cn","market":"a","tickerId":15963,"currency":"CNY","masterFundFlag":1,"lastUpdated":"2025-01-01T23:59:37.397Z","status":"normal","exchange":"jj","fundCollectionId":4000051300000,"inceptionDate":"2022-08-29T16:00:00.000Z","name":"汇安品质优选混合型证券投资基金","followedNum":0,"setUpDate":"2022-08-29T16:00:00.000Z","setUpAssetScale":293697622.44,"setUpShares":293697622.44,"pinyin":"hapzyxhhxzqtzjj","managers":[{"stockCode":"8801390221","stockType":"fund_manager","exchange":"fm","tickerId":231923140110,"name":"吴尚伟"}]},"announcement":{"linkText":"汇安品质优选混合型证券投资基金2023年第三季度报告","linkUrl":"http://eid.csrc.gov.cn/fund/disclose/instance_show_pdf_id.do?instanceid=988668","linkType":"PDF","source":"csrc_pdf"}},{"_id":"69aed1937fea5b3eb051fc97","date":"2023-06-29T16:00:00.000Z","stockId":3000000015963,"sao":"回顾上半年尤其是二季度，经济复苏明显放缓，一季度积压需求及订单快速释放后，需求端率先出现复苏放缓甚至停滞的迹象，随后生产强度也开始回落。PMI指数环比一季度大幅回落的同时，绝对值也跌破荣枯线，反映经济动能持续走弱。23年二季度需求端的弱势沿产业链持续向上传导，导致整体经济复苏速度持续下行，在6月出现了一些经济企稳回升的信号，持续性尚待观察。二季度通胀持续回落，CPI单月同比回落至0附近，PPI单月同比降幅持续扩大。资金环境仍偏宽松，人民币汇率总体呈持续贬值态势，6月末人民币兑美元中间价较一季度末贬值较多。回顾上半年，A股市场波动较大，科技龙头一枝独秀，呈现出景气驱动、行业结构明显分化的走势。其中科技龙头领涨，中大盘成长、消费龙头跌幅较多。年初以来，我们对今年的权益市场表现较为乐观，组合保持了较高的仓位，配置的行业聚焦在了大消费、医药、电子、计算机、通信、传媒等行业。","declarationDate":"2023-07-20T16:00:00.000Z","lastUpdated":"2026-03-09T13:56:35.703Z","mo":"二季度以来，市场逐步消化了各种不利因素，压制市场的因素已经出现缓和迹象，包括美国5月核心PCE通胀低于预期、国内经济基本面初现拐点、汇率贬值空间不大等，当前时点仍是权益产品性价比较高的配置区域。7月市场进入中报季，组合将关注景气改善品种；随着逆周期调节因子或将发力，我们也重视顺周期行业的投资机会；同时，成长板块在下半年仍是重要的投资主线。","fund":{"_id":3000000015963,"__csrcFundId":11616,"stockCode":"015963","shortName":"汇安品质优选混合A","masterFundShortName":"汇安品质优选混合","fundSecondLevel":"hybrid","stockType":"fund","areaCode":"cn","market":"a","tickerId":15963,"currency":"CNY","masterFundFlag":1,"lastUpdated":"2025-01-01T23:59:37.397Z","status":"normal","exchange":"jj","fundCollectionId":4000051300000,"inceptionDate":"2022-08-29T16:00:00.000Z","name":"汇安品质优选混合型证券投资基金","followedNum":0,"setUpDate":"2022-08-29T16:00:00.000Z","setUpAssetScale":293697622.44,"setUpShares":293697622.44,"pinyin":"hapzyxhhxzqtzjj","managers":[{"stockCode":"8801390221","stockType":"fund_manager","exchange":"fm","tickerId":231923140110,"name":"吴尚伟"}]},"announcement":{"linkText":"汇安品质优选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=962244","linkType":"PDF","source":"csrc_pdf"}},{"_id":"69aed1937fea5b3eb051fc96","date":"2023-03-30T16:00:00.000Z","stockId":3000000015963,"sao":"年初以来，A股宽基指数集体收涨，其中上证指数上涨5.94%，深证成指上涨6.45%，创业板指数上涨2.25%。市场交易情绪逐渐回暖，北向资金净流入。受益于ChatGPT、一带一路（叠加国改）、科技自主可控等因素影响，TMT、建筑装饰等板块表现强势。反映了市场在情绪回暖、缺乏增量资金的背景下，主题投资明显的特征。年初以来，我们整体看好今年的权益市场表现，组合保持了较高的仓位，行业相对分散，重点投资的板块包括食品饮料、医药、农业、轻工制造、机械设备、电子、计算机等行业。个股层面，优先选择了经营层面有积极变化的公司，交易上保持了适度灵活。","declarationDate":"2023-04-21T16:00:00.000Z","lastUpdated":"2026-03-09T13:56:35.700Z","fund":{"_id":3000000015963,"__csrcFundId":11616,"stockCode":"015963","shortName":"汇安品质优选混合A","masterFundShortName":"汇安品质优选混合","fundSecondLevel":"hybrid","stockType":"fund","areaCode":"cn","market":"a","tickerId":15963,"curr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