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投资组合

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汇丰晋信平稳增利中短债债券A(540005)

2024-04-19     1.12180.0268%
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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
20240.802024-04-012024-04-01派现2024-04-012024-04-03
20230.652024-01-022024-01-02派现2024-01-022024-01-04
20230.632023-10-092023-10-09派现2023-10-092023-10-11
20230.682023-07-032023-07-03派现2023-07-032023-07-05
20230.692023-04-032023-04-03派现2023-04-032023-04-06
20220.802023-01-032023-01-03派现2023-01-032023-01-05
20221.072022-10-102022-10-10派现2022-10-102022-10-12
20220.762022-07-012022-07-01派现2022-07-012022-07-05
20220.802022-04-012022-04-01派现2022-04-012022-04-07
20210.902022-01-042022-01-04派现2022-01-042022-01-06
20210.632021-10-082021-10-08派现2021-10-082021-10-12
20210.802021-07-012021-07-01派现2021-07-012021-07-05
20210.902021-04-012021-04-01派现2021-04-012021-04-06
20200.182021-01-042021-01-04派现2021-01-042021-01-06
20200.802020-10-092020-10-09派现2020-10-092020-10-13
20201.152020-07-012020-07-01派现2020-07-012020-07-03
20201.002020-04-012020-04-01派现2020-04-012020-04-03
20190.812020-01-022020-01-02派现2020-01-022020-01-06
20160.232017-01-032017-01-03派现2017-01-032017-01-05
20160.922016-10-102016-10-10派现2016-10-102016-10-12
20160.902016-07-012016-07-01派现2016-07-012016-07-05
20160.822016-04-012016-04-01派现2016-04-012016-04-06
20151.052016-01-042016-01-04派现2016-01-042016-01-06
20151.102015-10-082015-10-08派现2015-10-082015-10-12
20152.202015-07-012015-07-01派现2015-07-012015-07-03
20151.502015-04-012015-04-01派现2015-04-012015-04-03
20142.002015-01-052015-01-05派现2015-01-052015-01-07
20141.352014-10-082014-10-08派现2014-10-082014-10-10
20140.192014-07-012014-07-01派现2014-07-012014-07-03
20130.302013-10-082013-10-08派现2013-10-082013-10-10
20130.292013-07-012013-07-01派现2013-07-012013-07-03
20132.602013-04-012013-04-01派现2013-04-012013-04-03
20121.502013-01-042013-01-04派现2013-01-042013-01-08
20120.502012-10-082012-10-08派现2012-10-082012-10-10
20100.202010-10-082010-10-08派现2010-10-082010-10-12
20100.312010-07-012010-07-01派现2010-07-012010-07-05