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法国CAC40下跌17.20%，德国DAX指数下跌19.52%，日经225下跌8.33%，香港恒生指数下跌6.57%，英国富时100指数下跌2.92%。A股主要指数也普遍下跌，价值风格表现相对占优。汇率方面，美元兑人民币相比上年末大涨5.04%，人民币呈现出相对贬值趋势。债券市场方面，10年期国债收益率与上年末相比，略升4.5个BP，6月底收益率为2.820%；美国债10年期收益率和上年末相比大幅上行146个BP，6月底收益率为2.98%，全球流动性处于紧缩周期。","declarationDate":"2022-07-20T16:00:00.000Z","lastUpdated":"2026-03-09T14:07:39.552Z","mo":"展望2022年下半年，宏观上，海外方面，高通胀快紧缩下经济压力显现，衰退预期升温，考虑到本轮美国居民、企业杠杆不极端，我们认为美国更可能是浅衰退，欧洲衰退的尾部风险更大；国内方面，6月以来企业盈利下调速度减缓，稳信用、宽货币格局未变。通胀呈现PPI下、CPI上的态势，并不构成国内货币政策宽松制约；财政维持积极，稳增长政策预计将持续推进。中美经济周期和流动性周期错位，A股中期预计以震荡为主。风格方面，随着宽信用与增长企稳向上的兑现，成长里业绩alpha属性强的细分品种和价值风格均有机会。结构上，均衡配置，成长制造和消费相对占优，中期关注两大结构重点，一方面，上游金属价格回落，中下游的汽车/风电、军工上游有望受益；另一方面，经济活动走向正常化，消费与服务作为后周期品种有望受益。","fund":{"_id":3000000050013,"stockCode":"050013","stockType":"fund","areaCode":"cn","followedNum":12,"blackenedNum":0,"status":"normal","exchange":"jj","fundType":"stock","ipoDate":"2009-12-06T16:00:00.000Z","setUpScale":1906060000,"market":"a","tickerId":50013,"custody":"中国建设银行股份有限公司","name":"博时上证超级大盘交易型开放式指数证券投资基金联接基金","shortName":"博时上证超大盘ETF联接(050013)","fundSecondLevel":"company","lastUpdated":"2026-05-08T17:15:15.293Z","__csrcFundId":2886,"fundStatus":"normal","masterFundFlag":1,"inceptionDate":"2009-12-28T16:00:00.000Z","fundCollectionId":4000050050000,"currency":"CNY","masterFundShortName":"博时上证超大盘ETF联接","pinyin":"bsszcjdpjyxkfszszqtzjjljjj","__indexSourceEastMoney":1,"__indexSourceCsi":1,"etfFundFlag":1,"feederFundFlag":1,"indexFundFlag":1,"indexId":1000000000043,"managers":[{"stockCode":"j101019459","stockType":"fund_manager","exchange":"fm","tickerId":121725247850,"name":"李庆阳"}]},"announcement":{"linkText":"博时上证超级大盘交易型开放式指数证券投资基金联接基金2022年中期报告","linkUrl":"http://eid.csrc.gov.cn/fund/disclose/instance_show_pdf_id.do?instanceid=785605","linkType":"PDF","source":"csrc_pdf"}},{"_id":"69aed42b7fea5b3eb054592f","date":"2022-03-30T16:00:00.000Z","stockId":3000000050013,"sao":"2022年一季度，受美联储加息及俄乌冲突引发的通胀预期影响，海外主要市场指数多数下跌，标普500下跌4.95%，纳斯达克下跌9.10%，法国CAC40下跌6.89%，德国DAX指数下跌9.25%，日经225下跌3.37%，香港恒生指数下跌5.99%，仅英国富时100指数上涨1.78%。国内A股指数普遍下跌，价值风格表现占优，成长与科技板块表现较弱。汇率方面，美元兑人民币相比去年底跌0.47%，人民币延续升值趋势。债券市场方面，10年期国债收益率与去年底基本持平，3月底收益率为2.788%；美国债10年期收益率和去年底相比大幅上行80个BP，3月底收益率为2.32%，全球流动性进入紧缩周期。展望2022年二季度，宏观上，海外方面，俄乌冲突对市场影响仍大，近期有整体向缓和发展趋势，但即便情况缓解，海外通胀压力仍会处于高位，与此同时，美联储等央行收缩货币政策会导致流动性趋紧，增长预期预计也会趋于下降；国内方面，大概率将处于稳信用、宽货币和增长预期逐渐改善的状态，近期散发疫情对增长预期的冲击大概率已经过去。判断市场机会需紧扣稳增长政策下的企稳改善和上市公司的盈利预期变化，适当保持仓位的灵活性，把握结构性机会。风格上均衡配置大盘和中小盘。行业上延续“哑铃型”配置，一方面，大宗品涨价致海外通胀预期发酵以及稳增长政策的逻辑，积极配置低估值的能源通胀和经济增长链；另一方面，布局成长板块中拥挤度压力释放充分、且景气依然向好的新能源链。","declarationDate":"2022-04-21T16:00:00.000Z","lastUpdated":"2026-03-09T14:07:39.549Z","fund":{"_id":3000000050013,"stockCode":"050013","stockType":"fund","areaCode":"cn","followedNum":12,"blackenedNum":0,"status":"normal","exchange":"jj","fundType":"stock","ipoDate":"2009-12-06T16:00:00.000Z","setUpScale":1906060000,"market":"a","tickerId":50013,"custody":"中国建设银行股份有限公司","name":"博时上证超级大盘交易型开放式指数证券投资基金联接基金","shortName":"博时上证超大盘ETF联接(050013)","fundSecondLevel":"company","lastUpdated":"2026-05-08T17:15:15.293Z","__csrcFundId":2886,"fundStatus":"normal","masterFundFlag":1,"inceptionDate":"2009-12-28T16:00:00.000Z","fundCollectionId":4000050050000,"currency":"CNY","masterFundShortName":"博时上证超大盘ETF联接","pinyin":"bsszcjdpjyxkfszszqtzjjljjj","__indexSourceEastMoney":1,"__indexSourceCsi":1,"etfFundFlag":1,"feederFundFlag":1,"indexFundFlag":1,"indexId":1000000000043,"managers":[{"stockCode":"j101019459","stockType":"fund_manager","exchange":"fm","tickerId":121725247850,"name":"李庆阳"}]},"announcement":{"linkText":"博时上证超级大盘交易型开放式指数证券投资基金联接基金2022年第1季度报告","linkUrl":"http://eid.csrc.gov.cn/fund/disclose/instance_show_pdf_id.do?instanceid=725161","linkType":"PDF","source":"csrc_pdf"}},{"_id":"69aed42b7fea5b3eb054592e","date":"2021-12-30T16:00:00.000Z","stockId":3000000050013,"sao":"2021 年全球新冠疫情仍在反复，全球流动性仍延续前一年的宽松状态，因此，全球主要市场指数表现整体不错。全年来看，美国标普500上涨26.89%、纳斯达克上涨21.39%、日经225上涨4.91%，欧洲方面，德国DAX上涨15.79%、法国CAC40上涨28.85%、英国富时100上涨14.30%。A股方面，2021年整体市场处于震荡上行态势，结构性风格切换较为显著。春节之前，A股延续上年行情，核心资产大涨；春节之后到3月底，受美债收益率快速上行带来的货币收紧预期，核心资产回调，低估值躁动；随着美债收益率下行叠加国内货币宽松预期，4月至7月底，科技成长板块回归，随后8月至9月大宗商品价格飙升，资源股表现抢眼；9月至年末，商品价格回落，A股整体震荡。全年来看，滞涨与高景气板块齐头并进，小盘相对更占优，其中偏大盘的上证50下跌10.06%、沪深300指数下跌5.20%，偏小盘的中证500和中证1000分别上涨15.58%、20.52%，重仓科技和医药的创业板指、科创50表现也一般，全年分别上涨12.02%、0.37%。行业方面，中信一级行业表现分化明显，其中表现居前的是电力设备及新能源、基础化工、有色金属、煤炭、钢铁，涨幅分别为50.41%、48.05%、46.39%、44.67%、41.75%，跌幅较为靠前的行业是消费者服务、非银金融、家电、房地产、农林牧渔，跌幅分别为24.45%、20.41%、18.57%、9.63%、6.67%。","declarationDate":"2022-01-23T16:00:00.000Z","lastUpdated":"2026-03-09T14:07:39.546Z","mo":"展望2022年，宏观层面，奥密克戎的高传播性导致全球新增病例急升，但目前状况看毒性偏弱，多国放开防控限制，未来疫情对全球经济影响减弱。海外流动性上，美联储Taper靴子落地，市场加息预期升温，美国货币政策预计逐步正常化。国内经济方面，稳增长政策发力、疫情逐步缓解两大宏观主线向好，将拉动经济内生性改善。通胀方面，终端消费回暖、猪价周期性回升，中国CPI中枢逐步上移，且总体可控，同时，全球供需缺口收窄，中国PPI将步入回落周期。在通胀总体可控及稳增长基调下，货币流动性将继续保持宽松。 我们认为2022年A股在稳增长、货币相对宽松的整体背景下，将呈现出震荡及结构性行情，全年风格整体偏向价值周期，科技成长板块在估值消化后，可适当参与波段操作。配置上，重点关注两条主线：（1）稳增长大逻辑下的基建投资产业链，包括电力运营、建筑建材、特高压、通信建设等板块；（2）业绩修复且负面因素逐步消化的消费板块，包括家电、生猪、白酒、家居及餐饮旅游板块。","fund":{"_id":3000000050013,"stockCode":"050013","stockType":"fund","areaCode":"cn","followedNum":12,"blackenedNum":0,"status":"normal","exchange":"jj","fundType":"stock","ipoDate":"2009-12-06T16:00:00.000Z","setUpScale":1906060000,"market":"a","tickerId":50013,"custody":"中国建设银行股份有限公司","name":"博时上证超级大盘交易型开放式指数证券投资基金联接基金","shortName":"博时上证超大盘ETF联接(050013)","fundSecondLevel":"company","lastUpdated":"2026-05-08T17:15:15.293Z","__csrcFundId":2886,"fundStatus":"normal","masterFundFlag":1,"inceptionDate":"2009-12-28T16:00:00.000Z","fundCollectionId":4000050050000,"currency":"CNY","masterFundShortName":"博时上证超大盘ETF联接","pinyin":"bsszcjdpjyxkfszszqtzjjljjj","__indexSourceEastMoney":1,"__indexSourceCsi":1,"etfFundFlag":1,"feederFundFlag":1,"indexFundFlag":1,"indexId":1000000000043,"managers":[{"stockCode":"j101019459","stockType":"fund_manager","exchange":"fm","tickerId":121725247850,"name":"李庆阳"}]},"announcement":{"linkText":"博时上证超级大盘交易型开放式指数证券投资基金联接基金2021年年度报告","linkUrl":"http://eid.csrc.gov.cn/fund/disclose/instance_show_pdf_id.do?instanceid=709469","linkType":"PDF","source":"csrc_pdf"}},{"_id":"69aed42b7fea5b3eb054592d","date":"2021-09-29T16:00:00.000Z","stockId":3000000050013,"sao":"2021年三季度，海外主要市场指数多数涨跌不大，标普500微涨0.23%，纳斯达克微跌0.38%，英国富时100上涨0.70%，法国CAC40微涨0.19%，德国DAX指数下跌1.74%，日经225上涨2.30%，而香港恒生指数受反垄断政策影响，下跌14.75%。国内A股呈现机构性行情，中小盘风格表现较强，而核心资产与科技板块回调明显。汇率方面，美元兑人民币与二季度末几乎持平。债券市场方面，10年期国债收益率下行20个BP，9月底收益率为2.878%，美国债10年期收益率略有上升，9月底为1.520%，全球流动性仍处于宽松状态。展望2021年第四季度，宏观上，全球疫情反复而疫后刺激政策的逐步退潮，全球经济扩张动能环比有所放缓，短期韧性主要表现在出口与高端制造两个方面。通胀方面，四季度预计仍是维持CPI低位、PPI高位，前三季度成本传导机制较为顺畅，但经济下行压力的明显加大，成本传导不畅，影响制造业盈利。货币政策方面，宽货币、稳信用是四季度货币政策的主基调，资金面将延续目前稳中偏松的基调。 A股上市公司三季报和年报继续保持较好增长,但受宏观经济增长动能减弱的影响，盈利增速存在下滑的可能，同时受大宗品价格上涨影响，产业盈利结构分化。预计A股仍呈现结构性行情，仓位可保持中性。风格上均衡配置成长和价值、大盘和中小盘。行业上，重点关注具备长期趋势和短期盈利支撑的高端制造业，周期行业高位运行，利用市场波动时点，将周期仓位向高端制造业切换。","declarationDate":"2021-10-26T16:00:00.000Z","lastUpdated":"2026-03-09T14:07:39.544Z","fund":{"_id":3000000050013,"stockCode":"050013","stockType":"fund","areaCode":"cn","followedNum":12,"blackenedNum":0,"status":"normal","exchange":"jj","fundType":"stock","ipoDate":"2009-12-06T16:00:00.000Z","setUpScale":1906060000,"market":"a","tickerId":50013,"custody":"中国建设银行股份有限公司","name":"博时上证超级大盘交易型开放式指数证券投资基金联接基金","shortName":"博时上证超大盘ETF联接(050013)","fundSecondLevel":"company","lastUpdated":"2026-05-08T17:15:15.293Z","__csrcFundId":2886,"fundStatus":"normal","masterFundFlag":1,"inceptionDate":"2009-12-28T16:00:00.000Z","fundCollectionId":4000050050000,"currency":"CNY","masterFundShortName":"博时上证超大盘ETF联接","pinyin":"bsszcjdpjyxkfszszqtzjjljjj","__indexSourceEastMoney":1,"__indexSourceCsi":1,"etfFundFlag":1,"feederFundFlag":1,"indexFundFlag":1,"indexId":1000000000043,"managers":[{"stockCode":"j101019459","stockType":"fund_manager","exchange":"fm","tickerId":121725247850,"name":"李庆阳"}]},"announcement":{"linkText":"博时上证超级大盘交易型开放式指数证券投资基金联接基金2021年第3季度报告","linkUrl":"http://eid.csrc.gov.cn/fund/disclose/instance_show_pdf_id.do?instanceid=654174","linkType":"PDF","source":"csrc_pdf"}},{"_id":"69aed42b7fea5b3eb054592c","date":"2021-06-29T16:00:00.000Z","stockId":3000000050013,"sao":"2021年上半年，海外主要市场指数全线上涨，标普500上涨14.41%，纳斯达克上涨12.54%，英国富时100上涨8.93%，法国CAC40上涨17.23%，德国DAX指数上涨13.21%，香港恒生指数上涨5.86%，日经225上涨4.91%。国内A股方面整体震荡上行，主题风格切换显著，一季度周期板块表现较强,二季度科技股表现抢眼，总体看，中小盘风格表现较强。汇率方面，人民币整体延续升值态势，相对于美元，人民币升值1.20%。债券市场方面，10年期国债收益率下行6.5个BP，6月底收益率为3.078%，美国债10年期收益率在春节大幅飙升后逐步回落，月底收益率为1.450%，全球流动性整体处于宽松状态。","declarationDate":"2021-07-20T16:00:00.000Z","lastUpdated":"2026-03-09T14:07:39.541Z","mo":"展望2021年下半年，宏观上，随着新冠疫苗在欧美主要经济体全面普及，欧美疫情有望较快控制，全球经济复苏将更加全面和均衡，当前供需不均衡的局面有望逐步修复。国内经济方面，整体经济延续良好的复苏态势，同时受益于较为完善的供应链和良好的要素效率，经济整体景气复苏趋势良好。货币政策方面，目前流动性还是延续整体充裕性，当前由于全球经济复苏使得大宗品价格大幅上涨，PPI持续走高，未来随着产能未来逐渐释放，该矛盾点有望逐渐得到解决，后续需要紧密跟踪相关原材料价格的趋势变化。总体上，货币流动性无需过度担忧，仍然处在逐步回归常态的过程中，市场机会需要更加紧扣上市公司的盈利预期变化。预计A股仍呈现结构性行情，仓位可保持中性。风格上建议侧重盈利景气较高的科技板块、中小盘风格的基础性配置下，适当增加低估值板块的配置，重点关注具备长期趋势和短期盈利支撑的高端制造业。","fund":{"_id":3000000050013,"stockCode":"050013","stockType":"fund","areaCode":"cn","followedNum":12,"blackenedNum":0,"status":"normal","exchange":"jj","fundType":"stock","ipoDate":"2009-12-06T16:00:00.000Z","setUpScale":1906060000,"market":"a","tickerId":50013,"custody":"中国建设银行股份有限公司","name":"博时上证超级大盘交易型开放式指数证券投资基金联接基金","shortName":"博时上证超大盘ETF联接(050013)","fundSecondLevel":"company","lastUpdated":"2026-05-08T17:15:15.293Z","__csrcFundId":2886,"fundStatus":"normal","masterFundFlag":1,"inceptionDate":"2009-12-28T16:00:00.000Z","fundCollectionId":4000050050000,"currency":"CNY","masterFundShortName":"博时上证超大盘ETF联接","pinyin":"bsszcjdpjyxkfszszqtzjjljjj","__indexSourceEastMoney":1,"__indexSourceCsi":1,"etfFundFlag":1,"feederFundFlag":1,"indexFundFlag":1,"indexId":1000000000043,"managers":[{"stockCode":"j101019459","stockType":"fund_manager","exchange":"fm","tickerId":121725247850,"name":"李庆阳"}]},"announcement":{"linkText":"博时上证超级大盘交易型开放式指数证券投资基金联接基金2021年中期报告","linkUrl":"http://eid.csrc.gov.cn/fund/disclose/instance_show_pdf_id.do?instanceid=633323","linkType":"PDF","source":"csrc_pdf"}},{"_id":"69aed42b7fea5b3eb054592b","stockId":3000000050013,"sao":"2021年第一季度，海外主要市场指数多数上涨，标普500上涨5.77%，纳斯达克上涨2.78%，日经225上涨6.32%，英国富时100上涨3.92%，法国CAC40上涨9.29%，德国DAX指数上涨9.40%，香港恒生指数上涨4.21%。国内A股方面主要指数表现较弱，整体处于下跌趋势。汇率方面，人民币连续贬值趋势中止，全月微升0.26%。债券市场方面，10年期国债收益率上行5个BP，月底收益率为3.19%，美国债10年期收益率大幅上行63个BP，月底收益率为1.744%，导致全球金融市场大幅波动。行情方面，2021年第一季度，主流指数全线下跌，其中偏大盘的上证50下跌2.78%、沪深300指数下跌3.13%，偏小盘的中证500下跌1.78%，中证1000下跌5.31%，而偏科技的指数的创业板指下跌7.00%，科创50下跌10.39%。行业方面，中信一级行业中表现居前的是钢铁、电力及公用事业、银行、建筑、建材，涨幅分别为15.52%、11.21%、10.78%、7.82%、6.45%，跌幅较为靠前的行业是国防军工、非银行金融、通信、计算机、汽车，跌幅分别为18.91%、12.55%、10.30%、10.12%、9.31%。展望2021年二季度，全球经济复苏预期，发达国家疫苗接种稳步推进中，预计今年6-7月英、美就可以实现70%的疫苗覆盖率，率先经济重启。疫苗普及加速与1.9万亿财政刺激落地推动美国Q2~Q3强势复苏，美国补库存行至中程，上半年继续为中国出口提供拉动力，出口上半年景气能够大致维持。国内经济表现整体维持高景气，环比动能逐渐触顶后温和回落，CPI将到达阶段性高点，PPI同比逐渐触顶。流动性上，美债利率依然易上难下，国内信用环境逐渐实质性收紧。经济政策延续中央经济工作会议基调，强调连续性，温和转向，促进经济运行在合理区间。关注碳达峰、科技创新和平台经济政策。宏观基本面对风险资产的支撑开始弱化，二季度A股进入震荡期。随着长端利率的可能上行，市场对远期估值折现品种形成压制，策略思维需要更加关注盈利与估值的匹配。A股建议保持中等仓位，保持一定灵活度，积极把握市场结构性机会，波段操作。风格上偏向中盘价值以及中小盘价值风格。具体板块上，建议继续关注顺周期中钢铁、煤炭、有色、化工等板块；适当配置景气度较高且前期回调较为明显的半导体、军工、新能源汽车等板块。在投资策略上，本基金作为一只被动的指数基金，我们会以最小化跟踪误差为目标，通过投资于ETF紧密跟踪标的指数。同时我们仍然看好中国长期的经济增长，希望通过本基金为投资人提供分享中国长期经济增长的机会。","date":"2021-03-30T16:00:00.000Z","declarationDate":"2021-04-21T16:00:00.000Z","lastUpdated":"2026-03-09T14:07:39.538Z","fund":{"_id":3000000050013,"stockCode":"050013","stockType":"fund","areaCode":"cn","followedNum":12,"blackenedNum":0,"status":"normal","exchange":"jj","fundType":"stock","ipoDate":"2009-12-06T16:00:00.000Z","setUpScale":1906060000,"market":"a","tickerId":50013,"custody":"中国建设银行股份有限公司","name":"博时上证超级大盘交易型开放式指数证券投资基金联接基金","shortName":"博时上证超大盘ETF联接(050013)","fundSecondLevel":"company","las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1.64%，偏中小盘的中证500上涨 11.33%，中证1000上涨13.52%，科技、医药集中的创业板指表现最好，上涨35.60%。风格指数方面，中盘成长表现最好，上涨18.00%，大盘价值表现最弱，下跌12.62%。行业方面，中信一级行业中，医药、消费者服务、食品饮料、电子、计算机表现最为抢眼，分别上涨41.56%、26.32%、 25.41%、24.22%、22.92%。而石油石化、煤炭、银行、非银金融、房地产下跌，跌幅分别是17.47%、15.53%、13.02%、10.67%、8.54%。本基金主要投资于交易型开放式指数证券投资基金，以期获得和跟踪标的指数所表征的市场平均水平的收益。在报告期内，本基金严格按照基金合同，以不低于基金资产净值90%的资产都投资于交易型开放式指数证券投资基金，保证投资收益紧贴标的指数；现金或到期日在一年以内的政府债券的投资比例不低于基金资产净值的5%。","date":"2020-06-29T16:00:00.000Z","declarationDate":"2020-07-20T16:00:00.000Z","lastUpdated":"2026-03-09T14:07:39.530Z","mo":"展望2020年下半年，海外疫情蔓延出使经济衰退风险持续上升，预计未来美联储将继续保持流动性充盈，在此背景下或推动外资持续流入A股。国内方面，宽松财政政策开始发力，二季度流动性边际有所收紧，但受失业率上行压力，预计央行仍将保持流动性宽松。A股市场风格整体分化尽管有所弥合，高低估值板块差异仍较大，现阶段估值与基本面存在一定背离。我们对A股长期表现偏乐观，但需注意仓位的灵活性，把握结构性机会。投资风格上，围绕内循环等内需主题机会，继续重点配置行业龙头公司，长期配置消费、医药、科技的基础性配置，但需注意高低估值板块估值收敛。结构上把握两条主线，一条主线是关注受益于疫情后的内需恢复的可选消费板块（包括消费者服务、汽车等）和自主可控的科技、医药板块（包括消费电子、云计算、智能家居、医疗设备等）。另一条主线是逐步复苏后存在业绩预期差的周期板块（包括建筑建材、机械、化工等）以及后周期低估值板块（包括银行、非银金融等）。在投资策略上，本基金作为一只被动的指数基金，我们会以最小化跟踪误差为目标，通过投资于ETF紧密跟踪标的指数。同时我们仍然看好中国长期的经济增长，希望通过本基金为投资人提供分享中国长期经济增长的机会。","fund":{"_id":3000000050013,"stockCode":"050013","stockType":"fund","areaCode":"cn","followedNum":12,"blackenedNum":0,"status":"normal","exchange":"jj","fundType":"stock","ipoDate":"2009-12-06T16:00:00.000Z","setUpScale":1906060000,"market":"a","tickerId":50013,"custody":"中国建设银行股份有限公司","name":"博时上证超级大盘交易型开放式指数证券投资基金联接基金","shortName":"博时上证超大盘ETF联接(050013)","fundSecondLevel":"company","lastUpdated":"2026-05-08T17:15:15.293Z","__csrcFundId":2886,"fundStatus":"normal","masterFundFlag":1,"inceptionDate":"2009-12-28T16:00:00.000Z","fundCollectionId":4000050050000,"currency":"CNY","masterFundShortName":"博时上证超大盘ETF联接","pinyin":"bsszcjdpjyxkfszszqtzjjljjj","__indexSourceEastMoney":1,"__indexSourceCsi":1,"etfFundFlag":1,"feederFundFlag":1,"indexFundFlag":1,"indexId":1000000000043,"managers":[{"stockCode":"j101019459","stockType":"fund_manager","exchange":"fm","tickerId":121725247850,"name":"李庆阳"}]},"announcement":{"linkText":"博时上证超级大盘交易型开放式指数证券投资基金联接基金2020年中期报告","linkUrl":"http://eid.csrc.gov.cn/fund/disclose/instance_show_pdf_id.do?instanceid=457934","linkType":"PDF","source":"csrc_pdf"}}]}