招商信用增强债券A

(217023)公募固收增强型债券型
分红详情
序号 每份分红额 除息日
10.022026-03-10
20.012025-12-10
30.012025-09-09
40.012025-06-09
50.022025-03-10
60.012024-12-10
70.012024-09-06
80.012024-06-07
90.002024-03-08
100.012023-12-08
110.012023-09-08
120.012023-06-07
130.012023-03-10
140.012022-06-17
150.012022-03-10
160.022021-12-10
170.012021-09-07
180.012021-06-08
190.002021-03-16
200.012020-12-16
210.022020-09-09
220.022020-09-09
230.012020-06-05
240.012020-03-11
250.012017-12-28
260.012017-09-28
270.002017-06-28
280.022017-03-30
290.022016-12-30
300.022016-09-29
310.022016-06-30
320.002015-12-31
330.002015-12-31
340.012015-09-30
350.072015-06-30
360.052015-03-31
370.052014-12-29
380.022014-09-30
390.012014-06-30
400.032013-09-30
410.022013-06-26
420.012013-03-29
430.012012-12-26