/*
$file: config.inc.php,v $
$vision: 1.0.0.0 $
$Date: 2007-1-6 9:34:54 Saturday $
*/
?>
鹏华丰恒债券A(003280) - 基金分红 - 搜狐基金
鹏华丰恒债券A(003280)
2025-04-01
1.0964
0.0182%
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 |
2025 | 0.88 | 2025-02-21 | 2025-02-21 | 派现 | 2025-02-21 | 2025-02-25 |
2024 | 0.89 | 2024-11-22 | 2024-11-22 | 派现 | 2024-11-22 | 2024-11-26 |
2024 | 0.93 | 2024-09-03 | 2024-09-03 | 派现 | 2024-09-03 | 2024-09-05 |
2024 | 0.93 | 2024-06-14 | 2024-06-14 | 派现 | 2024-06-14 | 2024-06-18 |
2024 | 0.90 | 2024-03-05 | 2024-03-05 | 派现 | 2024-03-05 | 2024-03-07 |
2023 | 0.91 | 2023-12-08 | 2023-12-08 | 派现 | 2023-12-08 | 2023-12-12 |
2023 | 0.92 | 2023-09-11 | 2023-09-11 | 派现 | 2023-09-11 | 2023-09-13 |
2023 | 0.89 | 2023-06-01 | 2023-06-01 | 派现 | 2023-06-01 | 2023-06-05 |
2023 | 0.90 | 2023-03-27 | 2023-03-27 | 派现 | 2023-03-27 | 2023-03-29 |
2022 | 0.93 | 2022-12-06 | 2022-12-06 | 派现 | 2022-12-06 | 2022-12-08 |
2022 | 0.95 | 2022-09-13 | 2022-09-13 | 派现 | 2022-09-13 | 2022-09-15 |
2022 | 1.10 | 2022-06-27 | 2022-06-27 | 派现 | 2022-06-27 | 2022-06-29 |
2022 | 0.96 | 2022-03-11 | 2022-03-11 | 派现 | 2022-03-11 | 2022-03-15 |
2021 | 0.99 | 2021-12-24 | 2021-12-24 | 派现 | 2021-12-24 | 2021-12-28 |
2021 | 1.00 | 2021-09-28 | 2021-09-28 | 派现 | 2021-09-28 | 2021-09-30 |
2021 | 2.00 | 2021-06-01 | 2021-06-01 | 派现 | 2021-06-01 | 2021-06-03 |
2021 | 1.09 | 2021-03-23 | 2021-03-23 | 派现 | 2021-03-23 | 2021-03-25 |
2020 | 1.09 | 2020-12-23 | 2020-12-23 | 派现 | 2020-12-23 | 2020-12-25 |
2020 | 1.13 | 2020-09-21 | 2020-09-21 | 派现 | 2020-09-21 | 2020-09-23 |
2020 | 1.10 | 2020-06-15 | 2020-06-15 | 派现 | 2020-06-15 | 2020-06-17 |
2020 | 1.04 | 2020-03-17 | 2020-03-17 | 派现 | 2020-03-17 | 2020-03-19 |
2019 | 1.04 | 2019-12-16 | 2019-12-16 | 派现 | 2019-12-16 | 2019-12-18 |
2019 | 1.01 | 2019-09-17 | 2019-09-17 | 派现 | 2019-09-17 | 2019-09-19 |