海富通强化回报(519007)

动态评分: 0.00分

投资组合

报告日期 名称 比例
2010-03-31 09央票38 4.49%
2010-03-31 09赣州债 2.28%
2010-03-31 09清控债 2.26%
2010-03-31 10武钢CP01 0.46%
2009-12-31 09中广核CP01 8.99%
2009-12-31 09华谊CP01 8.98%
2009-12-31 08进出05 7.7%
2009-12-31 21国债⑽ 4.6%
2009-12-31 09浦发CP01 4.5%
2009-09-30 07农发20 14.12%
2009-09-30 09鲁高速CP01 5.17%
2009-09-30 21国债⑽ 4.8%
2009-09-30 09央票35 4.66%
2009-09-30 09晋煤CP01 4.58%
2009-06-30 99国债⑻ 13.78%
2009-06-30 08央票81 10.77%
2009-06-30 21国债⑿ 6.39%
2009-06-30 21国债⑽ 6.37%
2009-06-30 07央票10 4.19%
2009-03-31 21国债⑿ 8.69%

投资模拟

公告&资料