基金代码

基金简称

权益登记日

除息日期

分红(元/份)

分红发放日

012295

华安锦灏金融债3个月定开债发起式

2022-10-20

2022-10-20

0.0100

2022-10-21

519718

交银纯债债券发起A

2022-10-20

2022-10-20

0.0090

2022-10-24

519720

交银纯债债券发起C

2022-10-20

2022-10-20

0.0070

2022-10-24

001994

华安年年红债券C

2022-10-20

2022-10-20

0.0070

2022-10-21

000227

华安年年红债券A

2022-10-20

2022-10-20

0.0100

2022-10-21

165509

信诚增强收益债券(LOF)

2022-10-20

2022-10-20

0.0190

2022-10-24

040026

华安信用四季红债券A

2022-10-20

2022-10-20

0.0140

2022-10-21

006015

华安信用四季红债券C

2022-10-20

2022-10-20

0.0110

2022-10-21

360013

光大信用添益债券A

2022-10-20

2022-10-20

0.0110

2022-10-24

360014

光大信用添益债券C

2022-10-20

2022-10-20

0.0100

2022-10-24

519725

交银双轮动债券C

2022-10-20

2022-10-20

0.0070

2022-10-24

519723

交银双轮动债券A/B

2022-10-20

2022-10-20

0.0080

2022-10-24

006665

华夏鼎康债券A

2022-10-20

2022-10-20

0.0050

2022-10-21

006666

华夏鼎康债券C

2022-10-20

2022-10-20

0.0050

2022-10-21

007229

华安中债7-10年国开债C

2022-10-20

2022-10-20

0.0650

2022-10-21

007228

华安中债7-10年国开债A

2022-10-20

2022-10-20

0.0044

2022-10-21

000286

银华信用季季红债券A

2022-10-20

2022-10-20

0.0100

2022-10-21

010986

银华信用季季红债券C

2022-10-20

2022-10-20

0.0100

2022-10-21

110037

易方达纯债债券A

2022-10-20

2022-10-20

0.0100

2022-10-21

110038

易方达纯债债券C

2022-10-20

2022-10-20

0.0080

2022-10-21

000032

易方达信用债债券A

2022-10-20

2022-10-20

0.0110

2022-10-21

000033

易方达信用债债券C

2022-10-20

2022-10-20

0.0100

2022-10-21

006508

国联安增裕一年定开债

2022-10-20

2022-10-20

0.0410

2022-10-21

100066

富国纯债债券发起A/B

2022-10-20

2022-10-20

0.0080

2022-10-24

100068

富国纯债债券发起C

2022-10-20

2022-10-20

0.0070

2022-10-24

006662

易方达安悦超短债A

2022-10-20

2022-10-20

0.0060

2022-10-21

006664

易方达安悦超短债F

2022-10-20

2022-10-20

0.0060

2022-10-21

006663

易方达安悦超短债C

2022-10-20

2022-10-20

0.0050

2022-10-21

000194

银华信用四季红债券A

2022-10-20

2022-10-20

0.0120

2022-10-21

006837

银华信用四季红债券C

2022-10-20

2022-10-20

0.0100

2022-10-21

004772

国寿安保稳泰一年定开混合A

2022-10-20

2022-10-20

0.0640

2022-10-21

004773

国寿安保稳泰一年定开混合C

2022-10-20

2022-10-20

0.0620

2022-10-21

004596

中科沃土沃安中短利率A

2022-10-20

2022-10-20

0.0019

2022-10-24

007034

中科沃土沃安中短利率C

2022-10-20

2022-10-20

0.0012

2022-10-24

000634

富国天盛灵活配置基金

2022-10-20

2022-10-20

0.0080

2022-10-24

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