债券付息日
(166008) 20滨海01:债权登记日:2021-01-20,债券除权除息日:2021-01-21,每100元付息5.2000元,债券付息日:2021-01-21
(166005) 20金坛01:债权登记日:2021-01-20,债券除权除息日:2021-01-21,每100元付息6.8000元,债券付息日:2021-01-21
(166024) 20普城01:债权登记日:2021-01-20,债券除权除息日:2021-01-21,每100元付息5.4000元,债券付息日:2021-01-21
债券除权除息日
(166008) 20滨海01:债权登记日:2021-01-20,债券除权除息日:2021-01-21,每100元付息5.2000元,债券付息日:2021-01-21
(166005) 20金坛01:债权登记日:2021-01-20,债券除权除息日:2021-01-21,每100元付息6.8000元,债券付息日:2021-01-21
(166024) 20普城01:债权登记日:2021-01-20,债券除权除息日:2021-01-21,每100元付息5.4000元,债券付息日:2021-01-21
债权登记日
(150102) 18滨海01:债权登记日:2021-01-21,债券除权除息日:2021-01-22,每100元付息6.2900元,债券付息日:2021-01-22
(150095) 18兴业F1:债权登记日:2021-01-21,每100元兑付105.7000元,债券兑付日:2021-01-22
收益分配款发放日
(007022) 嘉实中债1-3政金债指:每10份派0.10元,权益登记日:2021-01-20,除息交易日:2021-01-20,收益分配款发放日:2021-01-21
(110037) 易方达纯债债券A:每10份派0.06元,权益登记日:2021-01-20,除息交易日:2021-01-20,收益分配款发放日:2021-01-21
(008620) 嘉实致宁3个月定开纯:每10份派0.02元,权益登记日:2021-01-20,除息交易日:2021-01-20,收益分配款发放日:2021-01-21
(110038) 易方达纯债债券C:每10份派0.05元,权益登记日:2021-01-20,除息交易日:2021-01-20,收益分配款发放日:2021-01-21
(008648) 嘉实致业一年定期纯债:每10份派0.02元,权益登记日:2021-01-20,除息交易日:2021-01-20,收益分配款发放日:2021-01-21
(005667) 易方达富财纯债债券:每10份派0.04元,权益登记日:2021-01-20,除息交易日:2021-01-20,收益分配款发放日:2021-01-21
(008574) 中加1-3年政金债指数:每10份派0.10元,权益登记日:2021-01-20,除息交易日:2021-01-20,收益分配款发放日:2021-01-21
(004911) 中加纯债定开债券A:每10份派0.12元,权益登记日:2021-01-20,除息交易日:2021-01-20,收益分配款发放日:2021-01-21
(006581) 建信优享稳健养老目标:每10份派0.16元,权益登记日:2021-01-20,除息交易日:2021-01-18,收益分配款发放日:2021-01-21
(519121) 浦银安盛6个月定期债:每10份派0.45元,权益登记日:2021-01-19,除息交易日:2021-01-19,收益分配款发放日:2021-01-21
(007670) 嘉实商业银行精选债券:每10份派0.01元,权益登记日:2021-01-20,除息交易日:2021-01-20,收益分配款发放日:2021-01-21
(519122) 浦银安盛6个月定期债:每10份派0.42元,权益登记日:2021-01-19,除息交易日:2021-01-19,收益分配款发放日:2021-01-21
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