嘉实致融一年定期债券_分红拆分
  • 序号每份分红除息日
  • 10.0045002024-10-21
  • 20.0036002024-07-16
  • 30.0021002024-04-18
  • 40.0094002023-12-27
  • 50.0209002023-09-25
  • 60.0032002023-07-18
  • 70.0018002023-04-19
  • 80.0140002022-10-25
  • 90.0422002022-06-27
  • 100.0093002022-04-20
  • 110.0097002022-01-19
  • 120.0077002021-10-25
  • 130.0055002021-07-16
  • 140.0031002021-04-16
  • 150.0015002021-01-20
  • 160.0135002020-10-26
  • 170.0026002020-07-16
  • 180.0024002020-04-17
  • 拆分日期拆分前净值拆分后净值拆分比例
  • 暂无数据