广发鑫裕A(002134)

动态评分: 0.00分

投资组合

报告日期 名称 比例
2017-12-31 17潞安SCP007 7.87%
2017-12-31 17青海盐湖SCP002 5.93%
2017-12-31 光大转债 0.75%
2017-12-31 16以岭EB 0.03%
2017-09-30 16中铝业MTN002 8.21%
2017-09-30 17晋能SCP003 8.11%
2017-09-30 17鄂联投CP001 8.07%
2017-09-30 17淮北矿SCP001 6.08%
2017-09-30 16内蒙电投CP001 6.08%
2017-09-30 17青海盐湖SCP002 6.06%
2017-09-30 光大转债 0.82%
2017-09-30 16以岭EB 0.03%
2017-06-30 16中铝业MTN002 8.46%
2017-06-30 17晋能SCP003 8.4%
2017-06-30 10河钢MTN2 6.34%
2017-06-30 16内蒙电投CP001 6.3%
2017-06-30 14武钢债 6.3%
2017-06-30 16以岭EB 0.03%
2017-03-31 16中铝业MTN002 7.86%
2017-03-31 17三环SCP001 7.83%

投资模拟

公告&资料