首页 - 基金 - 易方达纯债债券A(110037) - 分红送配
易方达纯债债券A(110037)分红送配
序号 派息日 单位分红 登记日 除息日 公告日期
1 2026-07-22 0.0068 2026-07-21 2026-07-21 2026-07-18
2 2026-05-07 0.0070 2026-05-06 2026-05-06 2026-04-30
3 2026-02-10 0.0060 2026-02-09 2026-02-09 2026-02-06
4 2025-10-29 0.0050 2025-10-28 2025-10-28 2025-10-25
5 2025-07-22 0.0100 2025-07-21 2025-07-21 2025-07-18
6 2025-04-29 0.0070 2025-04-28 2025-04-28 2025-04-25
7 2025-01-16 0.0100 2025-01-15 2025-01-15 2025-01-14
8 2024-11-22 0.0100 2024-11-21 2024-11-21 2024-11-20
9 2024-07-16 0.0100 2024-07-15 2024-07-15 2024-07-12
10 2024-04-30 0.0120 2024-04-29 2024-04-29 2024-04-26
11 2024-01-19 0.0070 2024-01-18 2024-01-18 2024-01-17
12 2023-10-19 0.0100 2023-10-18 2023-10-18 2023-10-17
13 2023-07-13 0.0080 2023-07-12 2023-07-12 2023-07-11
14 2023-04-18 0.0080 2023-04-17 2023-04-17 2023-04-14
15 2023-01-12 0.0050 2023-01-11 2023-01-11 2023-01-10
16 2022-10-21 0.0100 2022-10-20 2022-10-20 2022-10-19
17 2022-07-19 0.0100 2022-07-18 2022-07-18 2022-07-15
18 2022-04-22 0.0100 2022-04-21 2022-04-21 2022-04-20
19 2022-01-13 0.0080 2022-01-12 2022-01-12 2022-01-11
20 2021-10-21 0.0100 2021-10-20 2021-10-20 2021-10-19
21 2021-07-16 0.0090 2021-07-15 2021-07-15 2021-07-14
22 2021-04-09 0.0080 2021-04-08 2021-04-08 2021-04-07
23 2021-01-21 0.0060 2021-01-20 2021-01-20 2021-01-20
24 2020-10-30 0.0050 2020-10-29 2020-10-29 2020-10-29
25 2020-07-16 0.0070 2020-07-15 2020-07-15 2020-07-15
26 2020-04-16 0.0110 2020-04-15 2020-04-15 2020-04-15
27 2020-01-17 0.0140 2020-01-16 2020-01-16 2020-01-16
28 2019-10-15 0.0200 2019-10-14 2019-10-14 2019-10-14
29 2019-07-08 0.0490 2019-07-05 2019-07-05 2019-07-05
30 2019-03-06 0.0660 2019-03-05 2019-03-05 2019-03-05
31 2016-07-18 0.0600 2016-07-15 2016-07-15 2016-07-08
32 2015-07-24 0.0600 2015-07-23 2015-07-23 2015-07-16
33 2013-11-05 0.0460 2013-11-04 2013-11-04 2013-10-30
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