首页 - 基金 - 工银瑞弘3个月定开债(007585) - 分红送配
工银瑞弘3个月定开债(007585)分红送配
序号 派息日 单位分红 登记日 除息日 公告日期
1 2024-04-23 0.0034 2024-04-22 2024-04-22 2024-04-18
2 2024-03-26 0.0030 2024-03-25 2024-03-25 2024-03-21
3 2024-02-26 0.0032 2024-02-23 2024-02-23 2024-02-21
4 2024-01-24 0.0047 2024-01-23 2024-01-23 2024-01-19
5 2023-12-26 0.0013 2023-12-25 2023-12-25 2023-12-21
6 2023-11-23 0.0015 2023-11-22 2023-11-22 2023-11-20
7 2023-08-24 0.0059 2023-08-23 2023-08-23 2023-08-21
8 2023-07-26 0.0046 2023-07-25 2023-07-25 2023-07-21
9 2023-06-29 0.0015 2023-06-28 2023-06-28 2023-06-26
10 2023-05-23 0.0045 2023-05-22 2023-05-22 2023-05-18
11 2023-02-21 0.0019 2023-02-20 2023-02-20 2023-02-16
12 2023-01-19 0.0034 2023-01-18 2023-01-18 2023-01-16
13 2022-11-29 0.0029 2022-11-28 2022-11-28 2022-11-24
14 2022-10-27 0.0024 2022-10-26 2022-10-26 2022-10-24
15 2022-09-29 0.0026 2022-09-28 2022-09-28 2022-09-26
16 2022-08-26 0.0025 2022-08-25 2022-08-25 2022-08-23
17 2022-07-26 0.0020 2022-07-25 2022-07-25 2022-07-21
18 2022-06-28 0.0025 2022-06-27 2022-06-27 2022-06-23
19 2022-05-26 0.0030 2022-05-25 2022-05-25 2022-05-23
20 2022-04-27 0.0033 2022-04-26 2022-04-26 2022-04-22
21 2022-03-29 0.0024 2022-03-28 2022-03-28 2022-03-24
22 2022-02-28 0.0027 2022-02-25 2022-02-25 2022-02-23
23 2022-01-19 0.0034 2022-01-18 2022-01-18 2022-01-14
24 2021-11-26 0.0026 2021-11-25 2021-11-25 2021-11-23
25 2021-10-28 0.0053 2021-10-27 2021-10-27 2021-10-25
26 2021-08-13 0.0018 2021-08-12 2021-08-12 2021-08-11
27 2021-07-27 0.0064 2021-07-26 2021-07-26 2021-07-22
28 2021-05-20 0.0120 2021-05-19 2021-05-19 2021-05-18
29 2021-04-27 0.0026 2021-04-26 2021-04-26 2021-04-22
30 2021-03-25 0.0020 2021-03-24 2021-03-24 2021-03-22
31 2021-01-26 0.0029 2021-01-25 2021-01-25 2021-01-21
32 2020-05-29 0.0021 2020-05-28 2020-05-28 2020-05-27
33 2020-04-28 0.0118 2020-04-27 2020-04-27 2020-04-24
34 2020-02-24 0.0141 2020-02-21 2020-02-21 2020-02-20
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