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基金费率

投资组合

基金概况

财务数据

汇丰亚洲多元资产高入息债券BM2类人民币(968083)

2024-04-17     7.06640.4863%
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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
20243.612024-03-282024-03-28派现
20243.832024-02-292024-02-29派现
20243.832024-01-312024-01-31派现
20233.532023-12-292023-12-29派现
20233.472023-11-302023-11-30派现
20233.482023-10-312023-10-31派现
20233.512023-10-092023-10-09派现
20233.552023-08-312023-08-31派现
20233.592023-07-312023-07-31派现
20233.852023-06-302023-06-30派现
20233.782023-05-312023-05-31派现
20233.802023-04-282023-04-28派现
20233.822023-03-312023-03-31派现
20233.862023-02-282023-02-28派现
20233.822023-01-312023-01-31派现
20223.662022-12-302022-12-30派现
20223.532022-11-302022-11-30派现
20223.652022-10-312022-10-31派现
20223.742022-09-302022-09-30派现
20223.702022-08-312022-08-31派现
20223.662022-07-292022-07-29派现
20223.502022-06-302022-06-30派现
20223.562022-05-312022-05-31派现
20222.762022-04-292022-04-29派现
20222.862022-03-312022-03-31派现
20223.012022-02-282022-02-28派现
20223.102022-02-072022-02-07派现
20212.672021-12-312021-12-31派现
20212.722021-11-302021-11-30派现
20212.822021-10-292021-10-29派现
20212.912021-09-302021-09-30派现
20212.902021-08-312021-08-31派现
20212.942021-07-302021-07-30派现
20212.812021-06-302021-06-30派现
20212.842021-05-312021-05-31派现
20212.882021-04-302021-04-30派现
20212.932021-03-312021-03-31派现
20212.972021-02-262021-02-26派现
20213.002021-01-292021-01-29派现
20203.262020-12-312020-12-31派现
20203.262020-11-302020-11-30派现
20203.322020-10-302020-10-30派现
20203.642020-09-302020-09-30派现
20203.672020-08-312020-08-31派现
20203.622020-07-312020-07-31派现
20203.632020-06-302020-06-30派现
20203.502020-05-292020-05-29派现