鹏华金利债券A

(007321)固收增强型公募债券型
分红详情
序号 每份分红额 除息日
10.012026-05-25
20.002026-03-05
30.012025-11-21
40.012025-08-22
50.012025-05-23
60.012025-02-21
70.012024-11-22
80.012024-09-18
90.012024-06-12
100.002024-03-05
110.002023-12-08
120.002023-09-11
130.002023-06-01
140.002023-03-21
150.002022-12-06
160.002022-09-09
170.042022-06-28
180.012022-03-15
190.012021-12-07
200.012021-10-08
210.002021-05-31
220.002021-03-15
230.002020-12-01
240.002020-09-21
250.002020-06-22
260.002020-03-20
270.002020-03-20
280.002019-12-12