富国天利增长债券A(富国天利)(100018)基金分红送配
今天最新净值
1.3837
0.0007 0.0500%
- 累计净值:2.8707
- 成立日期:2003-12-02
- 基金类型:债券型-混合一级
- 成立份额:22.947亿份
- 最近份额:79.9985亿
- 最近资产:94.85亿元
- 基金公司:富国基金
- 基金经理:黄纪亮
基金分红
权益登记日 |
除息日 |
分红发放日 |
分红 |
2024-01-30 |
2024-01-30 |
2024-02-01 |
每份派现金0.0400元 |
2022-02-24 |
2022-02-24 |
2022-02-28 |
每份派现金0.0400元 |
2021-03-11 |
2021-03-11 |
2021-03-15 |
每份派现金0.0080元 |
2020-12-11 |
2020-12-11 |
2020-12-15 |
每份派现金0.0500元 |
2020-02-25 |
2020-02-25 |
2020-02-27 |
每份派现金0.0500元 |
2019-02-20 |
2019-02-20 |
2019-02-22 |
每份派现金0.0310元 |
2018-01-23 |
2018-01-23 |
2018-01-25 |
每份派现金0.0340元 |
2016-12-08 |
2016-12-09 |
2016-12-13 |
每份派现金0.0650元 |
2016-01-25 |
2016-01-26 |
2016-01-28 |
每份派现金0.1100元 |
2015-01-14 |
2015-01-15 |
2015-01-19 |
每份派现金0.0650元 |
2014-10-20 |
2014-10-21 |
2014-10-23 |
每份派现金0.0150元 |
2014-07-14 |
2014-07-15 |
2014-07-17 |
每份派现金0.0150元 |
2014-04-15 |
2014-04-16 |
2014-04-18 |
每份派现金0.0110元 |
2013-10-17 |
2013-10-18 |
2013-10-22 |
每份派现金0.0150元 |
2013-07-09 |
2013-07-10 |
2013-07-12 |
每份派现金0.0120元 |
2013-04-11 |
2013-04-12 |
2013-04-16 |
每份派现金0.0200元 |
2013-01-15 |
2013-01-16 |
2013-01-18 |
每份派现金0.0250元 |
2012-10-16 |
2012-10-17 |
2012-10-19 |
每份派现金0.0150元 |
2012-07-09 |
2012-07-10 |
2012-07-12 |
每份派现金0.0100元 |
2011-07-08 |
2011-07-11 |
2011-07-13 |
每份派现金0.0200元 |
2011-04-14 |
2011-04-15 |
2011-04-19 |
每份派现金0.0200元 |
2011-01-12 |
2011-01-13 |
2011-01-17 |
每份派现金0.0100元 |
2010-12-23 |
2010-12-24 |
2010-12-28 |
每份派现金0.0250元 |
2010-10-15 |
2010-10-18 |
2010-10-20 |
每份派现金0.0200元 |
2010-07-08 |
2010-07-09 |
2010-07-13 |
每份派现金0.0200元 |
2010-04-09 |
2010-04-12 |
2010-04-14 |
每份派现金0.0200元 |
2010-01-07 |
2010-01-08 |
2010-01-12 |
每份派现金0.0400元 |
2009-10-16 |
2009-10-19 |
2009-10-21 |
每份派现金0.0400元 |
2009-07-07 |
2009-07-08 |
2009-07-10 |
每份派现金0.0200元 |
2009-04-02 |
2009-04-03 |
2009-04-08 |
每份派现金0.0200元 |
2009-01-07 |
2009-01-08 |
2009-01-12 |
每份派现金0.0200元 |
2008-06-26 |
2008-06-27 |
2008-07-01 |
每份派现金0.0150元 |
2008-03-28 |
2008-03-31 |
2008-04-02 |
每份派现金0.0200元 |
2007-12-24 |
2007-12-25 |
2007-12-27 |
每份派现金0.0600元 |
2007-09-25 |
2007-09-26 |
2007-09-27 |
每份派现金0.0500元 |
2007-07-03 |
2007-07-04 |
2007-07-10 |
每份派现金0.0600元 |
2007-04-02 |
2007-04-03 |
2007-04-05 |
每份派现金0.0600元 |
2007-01-11 |
2007-01-12 |
2007-01-16 |
每份派现金0.0600元 |
2006-11-24 |
2006-11-27 |
2006-11-29 |
每份派现金0.0300元 |
2006-09-20 |
2006-09-21 |
2006-09-25 |
每份派现金0.0300元 |
2006-05-15 |
2006-05-16 |
2006-05-19 |
每份派现金0.0300元 |
2006-03-27 |
2006-03-28 |
2006-03-31 |
每份派现金0.0200元 |
2006-01-09 |
2006-01-10 |
2006-01-13 |
每份派现金0.0200元 |
2005-12-26 |
2005-12-27 |
2005-12-28 |
每份派现金0.0100元 |
2005-10-18 |
2005-10-19 |
2005-10-24 |
每份派现金0.0100元 |
2005-09-26 |
2005-09-27 |
2005-09-30 |
每份派现金0.0200元 |
2005-09-06 |
2005-09-07 |
2005-09-12 |
每份派现金0.0100元 |
2005-08-05 |
2005-08-08 |
2005-08-11 |
每份派现金0.0100元 |
2004-03-26 |
2004-03-29 |
2004-04-05 |
每份派现金0.0100元 |