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22日晚间沪深上市公司明日重大事项速递(更新中)


来源:证券时报网

(600656)博元投资:召开2015年度第1次临时股东大会

(500038)基金通乾:每10份派2.00元,权益登记日:2015-01-19,除息交易日:2015-01-20,收益分配款发放日:2015-01-23

(160805)长盛同智优势混合(LOF:每10份派0.91元,权益登记日:2015-01-21,除息交易日:2015-01-21,收益分配款发放日:2015-01-23

(162006)长城久富股票(LOF):每10份派0.50元,权益登记日:2015-01-21,除息交易日:2015-01-21,收益分配款发放日:2015-01-23

(161005)富国天惠成长混合(LOF:每10份派1.40元,权益登记日:2015-01-21,除息交易日:2015-01-21,收益分配款发放日:2015-01-23

(040010)华安稳定收益债券B:每10份派0.94元,权益登记日:2015-01-22,除息交易日:2015-01-22,收益分配款发放日:2015-01-23

(270009)广发增强债券:每10份派0.30元,权益登记日:2015-01-21,除息交易日:2015-01-21,收益分配款发放日:2015-01-23

(519668)银河成长股票:每10份派0.83元,权益登记日:2015-01-21,除息交易日:2015-01-21,收益分配款发放日:2015-01-23

(486001)工银全球股票(QDII):每10份派0.82元,权益登记日:2015-01-22,除息交易日:2015-01-21,收益分配款发放日:2015-01-23

(040009)华安稳定收益债券A:每10份派0.98元,权益登记日:2015-01-22,除息交易日:2015-01-22,收益分配款发放日:2015-01-23

(070099)嘉实优质企业股票:每10份派0.11元,权益登记日:2015-01-22,除息交易日:2015-01-22,收益分配款发放日:2015-01-23

(253060)国联安信心增长债券A:每10份派0.20元,权益登记日:2015-01-22,除息交易日:2015-01-22,收益分配款发放日:2015-01-23

(253061)国联安信心增长债券B:每10份派0.12元,权益登记日:2015-01-22,除息交易日:2015-01-22,收益分配款发放日:2015-01-23

(020010)国泰金牛创新股票:每10份派2.18元,权益登记日:2015-01-22,除息交易日:2015-01-22,收益分配款发放日:2015-01-23

(100026)富国天合稳健股票:每10份派1.06元,权益登记日:2015-01-20,除息交易日:2015-01-21,收益分配款发放日:2015-01-23

(213003)宝盈策略增长股票:每10份派1.60元,权益登记日:2015-01-22,除息交易日:2015-01-22,收益分配款发放日:2015-01-23

(257030)国联安优势股票:每10份派2.60元,权益登记日:2015-01-22,除息交易日:2015-01-22,收益分配款发放日:2015-01-23

(510880)华泰柏瑞上证红利ETF:每10份派0.80元,权益登记日:2015-01-19,除息交易日:2015-01-20,收益分配款发放日:2015-01-23

(070003)嘉实稳健混合:每10份派0.09元,权益登记日:2015-01-22,除息交易日:2015-01-22,收益分配款发放日:2015-01-23

(070005)嘉实债券:每10份派0.30元,权益登记日:2015-01-22,除息交易日:2015-01-22,收益分配款发放日:2015-01-23

(100022)富国天瑞强势混合:每10份派0.87元,权益登记日:2015-01-20,除息交易日:2015-01-21,收益分配款发放日:2015-01-23

(151001)银河稳健混合:每10份派0.05元,权益登记日:2015-01-22,除息交易日:2015-01-22,收益分配款发放日:2015-01-23

(161605)融通蓝筹成长混合:每10份派3.00元,权益登记日:2015-01-21,除息交易日:2015-01-21,收益分配款发放日:2015-01-23

(255010)国联安稳健混合:每10份派2.86元,权益登记日:2015-01-22,除息交易日:2015-01-22,收益分配款发放日:2015-01-23

(257010)国联安小盘精选混合:每10份派0.31元,权益登记日:2015-01-22,除息交易日:2015-01-22,收益分配款发放日:2015-01-23

(257020)国联安精选股票:每10份派0.72元,权益登记日:2015-01-22,除息交易日:2015-01-22,收益分配款发放日:2015-01-23

(257040)国联安红利股票:每10份派3.00元,权益登记日:2015-01-22,除息交易日:2015-01-22,收益分配款发放日:2015-01-23

(040012)华安强化收益债券A:每10份派0.64元,权益登记日:2015-01-22,除息交易日:2015-01-22,收益分配款发放日:2015-01-23

(040013)华安强化收益债券B:每10份派0.64元,权益登记日:2015-01-22,除息交易日:2015-01-22,收益分配款发放日:2015-01-23

(000119)广发聚鑫债券C:每10份派0.30元,权益登记日:2015-01-21,除息交易日:2015-01-21,收益分配款发放日:2015-01-23

(000118)广发聚鑫债券A:每10份派0.30元,权益登记日:2015-01-21,除息交易日:2015-01-21,收益分配款发放日:2015-01-23

(070031)嘉实全球房地产(QDII):每10份派0.81元,权益登记日:2015-01-21,除息交易日:2015-01-20,收益分配款发放日:2015-01-23

(070025)嘉实信用债券A:每10份派0.13元,权益登记日:2015-01-22,除息交易日:2015-01-22,收益分配款发放日:2015-01-23

(070026)嘉实信用债券C:每10份派0.11元,权益登记日:2015-01-22,除息交易日:2015-01-22,收益分配款发放日:2015-01-23

(000227)华安年年红债券:每10份派0.32元,权益登记日:2015-01-22,除息交易日:2015-01-22,收益分配款发放日:2015-01-23

(510300)华泰柏瑞沪深300ETF:每10份派0.35元,权益登记日:2015-01-19,除息交易日:2015-01-20,收益分配款发放日:2015-01-23

(070032)嘉实优化红利股票:每10份派1.75元,权益登记日:2015-01-22,除息交易日:2015-01-22,收益分配款发放日:2015-01-23

(040036)华安安心收益债券A:每10份派1.30元,权益登记日:2015-01-22,除息交易日:2015-01-22,收益分配款发放日:2015-01-23

(040037)华安安心收益债券B:每10份派1.30元,权益登记日:2015-01-22,除息交易日:2015-01-22,收益分配款发放日:2015-01-23

(040045)华安信用增强债券:每10份派1.00元,权益登记日:2015-01-22,除息交易日:2015-01-22,收益分配款发放日:2015-01-23

(040045)华安信用增强债券:每10份派1.00元,权益登记日:2015-01-22,除息交易日:2015-01-22,收益分配款发放日:2015-01-23

(020034)国泰民安增利债券C:每10份派1.32元,权益登记日:2015-01-22,除息交易日:2015-01-22,收益分配款发放日:2015-01-23

(020033)国泰民安增利债券A:每10份派1.41元,权益登记日:2015-01-22,除息交易日:2015-01-22,收益分配款发放日:2015-01-23

(040040)华安纯债债券A:每10份派0.11元,权益登记日:2015-01-22,除息交易日:2015-01-22,收益分配款发放日:2015-01-23

(040041)华安纯债债券C:每10份派0.11元,权益登记日:2015-01-22,除息交易日:2015-01-22,收益分配款发放日:2015-01-23

(163112)申万菱信定期开放债券:每10份派0.49元,权益登记日:2015-01-21,除息交易日:2015-01-21,收益分配款发放日:2015-01-23

(000267)广发集利一年定期开放:每10份派0.24元,权益登记日:2015-01-21,除息交易日:2015-01-21,收益分配款发放日:2015-01-23

(000268)广发集利一年定期开放:每10份派0.23元,权益登记日:2015-01-21,除息交易日:2015-01-21,收益分配款发放日:2015-01-23

(000202)富国目标收益两年期纯:每10份派0.23元,权益登记日:2015-01-20,除息交易日:2015-01-21,收益分配款发放日:2015-01-23

(000473)广发集鑫债券A:每10份派0.29元,权益登记日:2015-01-21,除息交易日:2015-01-21,收益分配款发放日:2015-01-23

(000474)广发集鑫债券C:每10份派0.35元,权益登记日:2015-01-21,除息交易日:2015-01-21,收益分配款发放日:2015-01-23

(000463)华商双债丰利债券A:每10份派0.50元,权益登记日:2015-01-21,除息交易日:2015-01-21,收益分配款发放日:2015-01-23

(000481)华商双债丰利债券C:每10份派0.40元,权益登记日:2015-01-21,除息交易日:2015-01-21,收益分配款发放日:2015-01-23

(000845)国投瑞银信息消费混合:每10份派1.00元,权益登记日:2015-01-21,除息交易日:2015-01-21,收益分配款发放日:2015-01-23

(160919)大成产业升级股票(LOF:每10份派0.02元,权益登记日:2015-01-21,除息交易日:2015-01-21,收益分配款发放日:2015-01-23

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