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广发聚鑫债券A(000118)

2024-04-24     1.46290.2261%
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基金分红
年份 100份基金分红 登记日 除息日 分红方式 红利转再投资日 再投资赎回起始日
20240.512024-04-122024-04-12派现2024-04-12
20231.032023-10-182023-10-18派现2023-10-18
20231.312023-07-132023-07-13派现2023-07-13
20220.202023-01-132023-01-13派现2023-01-13
20220.802022-10-182022-10-18派现2022-10-18
20221.062022-07-132022-07-13派现2022-07-13
20221.362022-04-152022-04-15派现2022-04-15
20212.102022-01-172022-01-17派现2022-01-17
20211.452021-10-192021-10-19派现2021-10-19
20211.602021-07-142021-07-14派现2021-07-14
20212.102021-04-142021-04-14派现2021-04-142021-04-16
20203.202021-01-182021-01-18派现2021-01-182021-01-20
20203.702020-10-212020-10-21派现2020-10-212020-10-23
20202.102020-07-102020-07-10派现2020-07-102020-07-14
20202.802020-04-142020-04-14派现2020-04-142020-04-16
20193.302020-01-142020-01-14派现2020-01-142020-01-16
20193.702019-10-182019-10-18派现2019-10-182019-10-22
20192.202019-07-082019-07-08派现2019-07-082019-07-10
20160.702017-01-182017-01-18派现2017-01-182017-01-20
20161.402016-10-212016-10-21派现2016-10-212016-10-25
20160.802016-07-182016-07-18派现2016-07-182016-07-20
20154.002016-01-202016-01-20派现2016-01-202016-01-22
20157.002015-10-262015-10-26派现2015-10-262015-10-28
201518.002015-07-172015-07-17派现2015-07-172015-07-21
20152.502015-04-202015-04-20派现2015-04-202015-04-22
20157.002015-04-012015-04-01派现2015-04-012015-04-03
20143.002015-01-212015-01-21派现2015-01-212015-01-23