工银瑞祥定开发起式债券

(005525)公募固收增强型债券型
分红详情
序号 每份分红额 除息日
10.002026-06-26
20.012026-05-26
30.012026-03-27
40.002026-01-22
50.002025-11-27
60.012024-12-25
70.032024-09-24
80.012024-03-19
90.002023-12-25
100.002023-11-08
110.012023-09-14
120.022023-05-29
130.012022-12-26
140.012022-09-27
150.012022-03-28
160.022021-12-16
170.012021-09-24
180.022021-03-15
190.022020-09-25
200.022020-02-13
210.012019-09-16
220.022019-03-28
230.022018-11-23