国泰价值LOF(160215)
动态评分: 2.98分
投资组合

报告日期 | 代码 | 名称 | 金额(万元) | 比例 |
2015-03-31 | 019422 | 14国债22 | 1002.3 | 1.17% |
2015-03-31 | 140022 | 14附息国债22 | 601.32 | 0.7% |
2014-12-31 | 019422 | 14国债22 | 1002 | 1.82% |
2014-12-31 | 113001 | 中行转债 | 671.77 | 1.22% |
2014-12-31 | 140022 | 14附息国债22 | 601.92 | 1.1% |
2014-09-30 | 019322 | 13国债22 | 1805.22 | 4.16% |
2014-06-30 | 019322 | 13国债22 | 702.1 | 3.91% |
2013-12-31 | 010701 | 07国债01 | 1000.1 | 5.09% |
2013-12-31 | 113005 | 平安转债 | 140.18 | 0.71% |
2013-09-30 | 010701 | 07国债01 | 1000.1 | 4.9% |
2013-06-30 | 010701 | 07国债01 | 1000.1 | 5.27% |
2012-12-31 | 019006 | 10国债06 | 997.7 | 3.31% |
2012-12-31 | 120002 | 12附息国债02 | 499.9 | 1.66% |
2012-09-30 | 019006 | 10国债06 | 999.2 | 3.23% |
2012-09-30 | 120002 | 12附息国债02 | 500.15 | 1.62% |
2012-06-30 | 019006 | 10国债06 | 994.3 | 2.92% |
2012-06-30 | 120002 | 12附息国债02 | 501.75 | 1.47% |
2012-03-31 | 119904 | 11贴现国债04 | 973.2 | 2.83% |
2011-12-31 | 119904 | 11贴现国债04 | 975.7 | 2.84% |
2011-12-31 | 126729 | 燕京转债 | 15.38 | 0.04% |
公告&资料
