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160910大成立异生长混合(LOF)2022-01-202022-01-20022732022-01-24519019大成景阳抢先混合2022-01-202022-01-20022592022-01-24090007大成战略报答混合2022-01-202022-01-20022322022-01-21011074鹏华安润混合C2022-01-202022-01-20000572022-01-24011073鹏华安润混合A2022-01-202022-01-20001062022-01-24040012华安强化收益债券A2022-01-202022-01-20003002022-01-21040013华安强化收益债券B2022-01-202022-01-20002802022-01-21090001大成价值增加混合2022-01-202022-01-20016572022-01-21090002大成债券A/B2022-01-202022-01-20004712022-01-21092002大成债券C2022-01-202022-01-20004472022-01-21519017大成活跃生长混合2022-01-202022-01-20039302022-01-24008780南边宁利一年定开债建议式2022-01-202022-01-20001002022-01-21001453鹏华弘鑫混合A2022-01-202022-01-20003632022-01-24001454鹏华弘鑫混合C2022-01-202022-01-20003302022-01-24096001大成标普500等权重指数2022-01-202022-01-19006462022-01-24519110浦银安盛价值生长混合A2022-01-202022-01-20035002022-01-24014011浦银安盛价值生长混合C2022-01-202022-01-20035002022-01-24