兴银合盈债券C

(001784)公募固收增强型债券型
分红详情
序号 每份分红额 除息日
10.022026-02-05
20.012025-03-17
30.022024-12-26
40.032023-12-07
50.022022-11-18
60.012022-03-21
70.002022-01-17
80.012021-11-22
90.012021-08-23
100.012021-06-21
110.012021-04-26
120.012021-01-21
130.002020-12-14
140.012020-10-26
150.012020-05-15
160.012020-01-13