首页 - 基金 - 嘉实致宁3个月定开纯债债券(008620) - 分红送配
嘉实致宁3个月定开纯债债券(008620)分红送配
序号 派息日 单位分红 登记日 除息日 公告日期
1 2025-04-16 0.0019 2025-04-15 2025-04-15 2025-04-11
2 2024-12-25 0.0200 2024-12-24 2024-12-24 2024-12-20
3 2024-10-22 0.0048 2024-10-21 2024-10-21 2024-10-17
4 2024-07-17 0.0045 2024-07-16 2024-07-16 2024-07-12
5 2024-04-19 0.0038 2024-04-18 2024-04-18 2024-04-16
6 2024-01-18 0.0028 2024-01-17 2024-01-17 2024-01-15
7 2023-10-25 0.0200 2023-10-24 2023-10-24 2023-10-20
8 2023-07-19 0.0061 2023-07-18 2023-07-18 2023-07-14
9 2023-04-20 0.0058 2023-04-19 2023-04-19 2023-04-17
10 2022-12-21 0.0070 2022-12-20 2022-12-20 2022-12-16
11 2022-10-26 0.0072 2022-10-25 2022-10-25 2022-10-21
12 2022-07-19 0.0068 2022-07-18 2022-07-18 2022-07-14
13 2022-04-21 0.0061 2022-04-20 2022-04-20 2022-04-18
14 2022-01-20 0.0048 2022-01-19 2022-01-19 2022-01-18
15 2021-10-26 0.0045 2021-10-25 2021-10-25 2021-10-21
16 2021-07-19 0.0034 2021-07-16 2021-07-16 2021-07-14
17 2021-04-20 0.0022 2021-04-19 2021-04-19 2021-04-16
18 2021-01-21 0.0018 2021-01-20 2021-01-20 2021-01-19
19 2020-10-27 0.0008 2020-10-26 2020-10-26 2020-10-23
20 2020-07-17 0.0009 2020-07-16 2020-07-16 2020-07-15
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