国投瑞银融华债券(121001)
动态评分: 0.27分
投资组合

报告日期 | 代码 | 名称 | 金额(万元) | 比例 |
2007-06-30 | 060408 | 06农发08 | 3002.7 | 5.67% |
2007-06-30 | 009908 | 99国债(8) | 1752.14 | 3.31% |
2007-03-31 | 050416 | 05农发16 | 4972.75 | 9.53% |
2007-03-31 | 010214 | 02国债(14) | 4718.7 | 9.04% |
2007-03-31 | 040215 | 04国开15 | 4040.56 | 7.74% |
2007-03-31 | 060408 | 06农发08 | 3002.7 | 5.75% |
2007-03-31 | 010010 | 20国债(10) | 1316.94 | 2.52% |
2006-12-31 | 010214 | 02国债(14) | 2471.09 | 17.07% |
2006-12-31 | 010010 | 20国债(10) | 1316.68 | 9.09% |
2006-12-31 | 010210 | 02国债(10) | 1086.36 | 7.5% |
2006-12-31 | 110317 | 营港转债 | 937.16 | 6.47% |
2006-12-31 | 010103 | 21国债(3) | 800.67 | 5.53% |
2006-12-31 | 125822 | 海化转债 | 272.32 | 1.88% |
2006-12-31 | 125488 | 晨鸣转债 | 197.73 | 1.37% |
2006-12-31 | 125959 | 首钢转债 | 118.5 | 0.82% |
2006-09-30 | 010214 | 02国债(14) | 2276.24 | 15.61% |
2006-09-30 | 110317 | 营港转债 | 1398.78 | 9.59% |
2006-09-30 | 010010 | 20国债(10) | 1365.98 | 9.37% |
2006-09-30 | 010210 | 02国债(10) | 990 | 6.79% |
2006-09-30 | 125488 | 晨鸣转债 | 178.4 | 1.22% |
公告&资料
