泰信周期回报(290009)

动态评分: 0.44分

投资组合

报告日期 名称 比例
2016-12-31 16沪世博MTN001 8.21%
2016-09-30 15中油股MTN002 9.87%
2016-09-30 15铁道MTN001 8.46%
2016-09-30 11吴江债 8.41%
2016-09-30 15国开03 8.16%
2016-09-30 16沪世博MTN001 8%
2016-06-30 16中石油MTN001 9.64%
2016-06-30 15中油股MTN002 8.47%
2016-06-30 11吴江债 7.29%
2016-06-30 15铁道MTN001 7.28%
2016-06-30 15国开03 7.03%
2016-03-31 16瘦西湖CP001 6.48%
2016-03-31 16中石油MTN001 6.05%
2016-03-31 15中油股MTN002 5.33%
2016-03-31 14舟交投MTN001 4.73%
2016-03-31 11吴江债 4.65%
2015-12-31 14舟交投MTN001 19.8%
2015-12-31 14沪世茂MTN002 12.95%
2015-12-31 15农发01 12.51%
2015-12-31 11吴江债 6.61%

投资模拟

公告&资料