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嘉实商业银行精选债券(007670)

2024-04-23     1.03820.0578%
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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
20242.532024-03-272024-03-27派现2024-03-272024-03-29
20230.442024-01-172024-01-17派现2024-01-172024-01-19
20230.372023-10-242023-10-24派现2023-10-242023-10-26
20230.242023-07-182023-07-18派现2023-07-182023-07-20
20230.062023-04-192023-04-19派现2023-04-192023-04-21
20221.242023-01-182023-01-18派现2023-01-182023-01-20
20220.702022-09-162022-09-16派现2022-09-162022-09-20
20220.292022-07-182022-07-18派现2022-07-182022-07-20
20220.252022-04-202022-04-20派现2022-04-202022-04-22
20210.172022-01-192022-01-19派现2022-01-192022-01-21
20210.072021-10-252021-10-25派现2021-10-252021-10-27
20210.542021-04-162021-04-16派现2021-04-162021-04-20
20200.072021-01-202021-01-20派现2021-01-202021-01-22
20200.202020-10-262020-10-26派现2020-10-262020-10-28
20200.092020-07-162020-07-16派现2020-07-162020-07-20
20201.332020-04-172020-04-17派现2020-04-172020-04-21