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基金费率

投资组合

基金概况

财务数据

工银瑞丰半年定开纯债债券发起式(002603)

2024-04-24     1.0793-0.0370%
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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
20240.202024-04-222024-04-22派现2024-04-22
20240.302024-03-252024-03-25派现2024-03-25
20240.152024-02-232024-02-23派现2024-02-23
20240.202024-01-232024-01-23派现2024-01-23
20230.202023-12-252023-12-25派现2023-12-25
20230.182023-11-222023-11-22派现2023-11-22
20230.152023-10-272023-10-27派现2023-10-27
20230.182023-09-262023-09-26派现2023-09-26
20230.472023-08-232023-08-23派现2023-08-23
20231.302023-07-252023-07-25派现2023-07-25
20230.322023-02-202023-02-20派现2023-02-20
20230.142023-01-182023-01-18派现2023-01-18
20220.212022-12-272022-12-27派现2022-12-27
20220.242022-11-282022-11-28派现2022-11-28
20220.202022-10-262022-10-26派现2022-10-26
20220.352022-09-282022-09-28派现2022-09-28
20220.302022-08-252022-08-25派现2022-08-25
20220.202022-07-252022-07-25派现2022-07-25
20220.302022-06-272022-06-27派现2022-06-27
20220.252022-05-252022-05-25派现2022-05-25
20220.262022-04-262022-04-26派现2022-04-26
20220.302022-03-282022-03-28派现2022-03-28
20220.352022-02-252022-02-25派现2022-02-25
20220.352022-01-182022-01-18派现2022-01-18
20210.252021-11-252021-11-25派现2021-11-25
20210.622021-10-272021-10-27派现2021-10-27
20210.352021-08-252021-08-25派现2021-08-25
20210.452021-07-272021-07-27派现2021-07-27
20211.202021-05-192021-05-19派现2021-05-19
20210.502021-04-262021-04-26派现2021-04-26
20210.512021-03-242021-03-24派现2021-03-24
20210.602021-01-282021-01-28派现2021-01-28
20200.302020-06-242020-06-24派现2020-06-24
20200.372020-05-282020-05-28派现2020-05-28
20200.382020-04-272020-04-27派现2020-04-27
20200.692020-03-242020-03-24派现2020-03-24
20201.412020-02-272020-02-27派现2020-02-27
20190.302019-12-162019-12-16派现2019-12-16
20193.702019-11-132019-11-13派现2019-11-13
20191.942019-05-142019-05-14派现2019-05-14
20194.112019-03-052019-03-05派现2019-03-052019-03-07