东证融汇汇享2号

(SAZ824)集合理财债券型
分红详情
序号 每份分红额 除息日
10.012025-12-08
20.022018-11-06
30.002018-12-04
40.022019-03-19
50.032019-09-23
60.032020-03-23
70.042020-10-19
80.022018-07-16
90.032021-11-15
100.032022-05-16
110.032022-11-22
120.032023-05-22
130.032023-11-22
140.032024-05-27
150.022024-12-02
160.012025-06-03
170.032021-05-10