广发稳健增长A(270002)

动态评分: 5.11分

投资组合

报告日期 名称 比例
2007-09-30 21国债(15) 2.66%
2007-09-30 海化转债 1.64%
2007-09-30 中海转债 1.4%
2007-06-30 20国债⑽ 10.87%
2007-06-30 21国债⑶ 9.53%
2007-06-30 海化转债 2.04%
2007-06-30 锡业转债 0.67%
2007-06-30 韶钢转债 0.47%
2007-03-31 21国债(3) 8.02%
2007-03-31 20国债(10) 6.49%
2007-03-31 02国债01 3.51%
2007-03-31 招商转债 3.23%
2007-03-31 晨鸣转债 2.95%
2006-12-31 21国债(3) 8.57%
2006-12-31 20国债(10) 6.77%
2006-12-31 02国债01 3.07%
2006-12-31 招商转债 2.68%
2006-12-31 02国债(14) 2%
2006-12-31 营港转债 0.47%
2006-12-31 海化转债 0.37%

投资模拟

公告&资料