博时平衡配置(050007)

动态评分: 0.00分

投资组合

报告日期 名称 比例
2015-12-31 12一重01 2.76%
2015-09-30 09汾湖债 7.41%
2015-09-30 13国开22 7.24%
2015-09-30 12铁道债05 5.85%
2015-09-30 12一重01 4.29%
2015-09-30 12吉城投 3.59%
2015-06-30 11国开41 6.99%
2015-06-30 09汾湖债 5.89%
2015-06-30 13国开22 5.66%
2015-06-30 12铁道债05 4.61%
2015-03-31 11国开41 4.52%
2015-03-31 09汾湖债 3.82%
2015-03-31 12国开22 3.73%
2015-03-31 13国开22 3.67%
2015-03-31 12铁道债05 2.97%
2014-12-31 14进出58 7.03%
2014-12-31 11国开41 4.21%
2014-12-31 09汾湖债 3.48%
2014-12-31 12国开22 3.48%
2014-12-31 12中石油05 3.42%

投资模拟

公告&资料