广发聚鑫债券C

(000119)固收增强型公募债券型
分红详情
序号 每份分红额 除息日
10.022025-10-21
20.012025-07-11
30.002024-04-12
40.012023-10-18
50.012023-07-13
60.002023-01-13
70.012022-10-18
80.012022-07-13
90.012022-04-15
100.022022-01-17
110.012021-10-19
120.012021-07-14
130.022021-04-14
140.032021-01-18
150.042020-10-21
160.022020-07-10
170.032020-04-14
180.032020-01-14
190.032019-10-18
200.012019-07-08
210.012016-10-21
220.012016-07-18
230.042016-01-20
240.072015-10-26
250.182015-07-17
260.032015-04-20
270.072015-04-01
280.032015-01-21