泰信鑫益A(000212)

动态评分: 0.23分

投资组合

报告日期 名称 比例
2025-03-31 24国开08 9.69%
2025-03-31 22津渤海MTN002 8.14%
2025-03-31 24附息国债11 7.96%
2025-03-31 25武清国资CP001 7.63%
2025-03-31 25国航MTN001 7.62%
2024-12-31 22国开08 13.12%
2024-12-31 24特别国债06 9.58%
2024-12-31 23华靖资产MTN002(乡村振兴) 9.32%
2024-12-31 22津渤海MTN002 7.6%
2024-12-31 24附息国债11 7.56%
2024-09-30 23华靖资产MTN002(乡村振兴) 8.99%
2024-09-30 23鄂联投MTN001 7.16%
2024-09-30 24津保投SCP006 7.05%
2024-09-30 24农发01 7.04%
2024-09-30 24农业银行CD104 6.95%
2024-06-30 23华靖资产MTN002(乡村振兴) 8.71%
2024-06-30 21上饶城投MTN002 7.05%
2024-06-30 23鄂联投MTN001 6.94%
2024-06-30 24附息国债06 6.89%
2024-06-30 24津保投SCP006 6.83%
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投资模拟

公告&资料