大摩强收益债券(233005)

动态评分: 0.17分

投资组合

报告日期 名称 比例
2015-12-31 15荣安债 11.96%
2015-12-31 15森工集SCP001 11.86%
2015-12-31 15仁寿债 11.83%
2015-12-31 15渝外贸 11.76%
2015-09-30 15福星01 13.84%
2015-09-30 13海西债 13.58%
2015-09-30 14武安债 13.32%
2015-09-30 14准国资债 12.87%
2015-09-30 14融国投债 12.65%
2015-06-30 15福星01 16.88%
2015-06-30 11庞大02 16.03%
2015-06-30 14亿利01 15.66%
2015-06-30 14芜湖县建投债 15.59%
2015-06-30 洛钼转债 2.13%
2015-03-31 14方正CP002 15.99%
2015-03-31 15福星01 11.69%
2015-03-31 11庞大02 11.18%
2015-03-31 14亿利01 10.89%
2015-03-31 14云冶CP001 10.81%
2015-03-31 齐峰转债 4.42%

投资模拟

公告&资料