(161601) 融通新蓝筹混合:每10份派0.05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
(510300) 华泰柏瑞沪深300ETF:每10份派0.72元,权益登记日:2021-01-15,除息交易日:2021-01-18,收益分配款发放日:2021-01-21
(040012) 华安强化收益债券A: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
(040013) 华安强化收益债券B: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
(009742) 鹏华中债-0-3年AA 优:每10份派0.03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
(161612) 融通深证成份指数A:每10份派0.33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
(004639) 华夏恒慧一年定开债券: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
(530006) 建信核心精选混合:每10份派0.90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
(009743) 鹏华中债-0-3年AA 优:每10份派0.03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
(004801) 浦银安盛安久回报定开:每10份派1.40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
(004802) 浦银安盛安久回报定开:每10份派1.30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
(007716) 嘉实致华纯债债券: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
(161606) 融通行业景气混合A:每10份派0.05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
(519118) 浦银安盛幸福回报债券:每10份派0.27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
(009277) 融通行业景气混合C:每10份派0.05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
(519119) 浦银安盛幸福回报债券:每10份派0.25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
(169106) 东方红创新优选定开混:每10份派0.30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
(160527) 博时研究优选混合A:每10份派0.02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
(160505) 博时主题行业混合(LOF:每10份派3.21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
Copyright 2015-2022 财务报告网版权所有 备案号: 京ICP备12018864号-19 联系邮箱:29 13 23 6 @qq.com