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停牌
()中航善达:因刊登重要事项公告,连续停牌,停牌起始日:-10-22,恢复交易日:-10-23
()嘉麟杰:因刊登重要事项公告,连续停牌,停牌起始日:-10-22,恢复交易日:-10-23
召开股东大会
()闽灿坤B:召开年度第2次临时股东大会
()广发证券:召开年度第1次临时股东大会
()*ST罗普:召开年度第3次临时股东大会
收益分配款发放日
()华夏大中华信用债券(Q:每10份派0.22元,权益登记日:-10-15,除息交易日:-10-14,收益分配款发放日:-10-22
()博时汇享纯债债券C:每10份派0.16元,权益登记日:-10-18,除息交易日:-10-18,收益分配款发放日:-10-22
()博时鑫泰混合A:每10份派0.55元,权益登记日:-10-18,除息交易日:-10-18,收益分配款发放日:-10-22
()广发集富纯债A:每10份派0.12元,权益登记日:-10-18,除息交易日:-10-18,收益分配款发放日:-10-22
()华夏大中华信用债券(Q:每10份派0.17元,权益登记日:-10-15,除息交易日:-10-14,收益分配款发放日:-10-22
()广发集富纯债C:每10份派0.09元,权益登记日:-10-18,除息交易日:-10-18,收益分配款发放日:-10-22
()博时鑫泰混合C:每10份派0.54元,权益登记日:-10-18,除息交易日:-10-18,收益分配款发放日:-10-22
()博时中债3-5年国开行:每10份派0.04元,权益登记日:-10-18,除息交易日:-10-18,收益分配款发放日:-10-22
()华夏大中华信用债券(Q:每10份派0.03元,权益登记日:-10-15,除息交易日:-10-14,收益分配款发放日:-10-22
()信诚增强收益债券(LOF:每10份派0.13元,权益登记日:-10-18,除息交易日:-10-18,收益分配款发放日:-10-22
()交银蓝筹混合:每10份派0.17元,权益登记日:-10-18,除息交易日:-10-18,收益分配款发放日:-10-22
()博时中债3-5进出口行:每10份派0.09元,权益登记日:-10-18,除息交易日:-10-18,收益分配款发放日:-10-22
()中信保诚盛世蓝筹混合:每10份派2.21元,权益登记日:-10-21,除息交易日:-10-21,收益分配款发放日:-10-22
()银华信用季季红债券A:每10份派0.10元,权益登记日:-10-21,除息交易日:-10-21,收益分配款发放日:-10-22
()鹏华永诚一年定期开放:每10份派0.50元,权益登记日:-10-18,除息交易日:-10-18,收益分配款发放日:-10-22
()中邮纯债汇利三个月定:每10份派0.31元,权益登记日:-10-18,除息交易日:-10-18,收益分配款发放日:-10-22
()银华信用四季红债券A:每10份派0.10元,权益登记日:-10-21,除息交易日:-10-21,收益分配款发放日:-10-22
()银华信用四季红债券C:每10份派0.16元,权益登记日:-10-21,除息交易日:-10-21,收益分配款发放日:-10-22
()银河庭芳3个月定开债:每10份派0.21元,权益登记日:-10-18,除息交易日:-10-18,收益分配款发放日:-10-22
()博时富腾纯债债券:每10份派0.42元,权益登记日:-10-18,除息交易日:-10-18,收益分配款发放日:-10-22
()国泰安益灵活配置混合:每10份派0.96元,权益登记日:-10-21,除息交易日:-10-21,收益分配款发放日:-10-22
()国联安增鑫纯债债券A:每10份派0.20元,权益登记日:-10-21,除息交易日:-10-21,收益分配款发放日:-10-22
()国联安增鑫纯债债券C:每10份派0.20元,权益登记日:-10-21,除息交易日:-10-21,收益分配款发放日:-10-22
()南方通利债券A:每10份派0.10元,权益登记日:-10-21,除息交易日:-10-21,收益分配款发放日:-10-22
()交银双轮动债券A:每10份派0.10元,权益登记日:-10-18,除息交易日:-10-18,收益分配款发放日:-10-22
()南方通利债券C:每10份派0.09元,权益登记日:-10-21,除息交易日:-10-21,收益分配款发放日:-10-22
()建信中证指数增强:每10份派0.23元,权益登记日:-10-21,除息交易日:-10-21,收益分配款发放日:-10-22
()交银双轮动债券C:每10份派0.10元,权益登记日:-10-18,除息交易日:-10-18,收益分配款发放日:-10-22
()大成惠利纯债债券:每10份派0.30元,权益登记日:-10-21,除息交易日:-10-21,收益分配款发放日:-10-22
()国泰普益灵活配置混合:每10份派0.99元,权益登记日:-10-21,除息交易日:-10-21,收益分配款发放日:-10-22
()建信上证50ETF联接A:每10份派0.05元,权益登记日:-10-21,除息交易日:-10-21,收益分配款发放日:-10-22
()国泰普益灵活配置混合:每10份派0.99元,权益登记日:-10-21,除息交易日:-10-21,收益分配款发放日:-10-22
()建信上证50ETF联接C:每10份派0.05元,权益登记日:-10-21,除息交易日:-10-21,收益分配款发放日:-10-22
()银河景行3个月定开债:每10份派0.17元,权益登记日:-10-18,除息交易日:-10-18,收益分配款发放日:-10-22
()鹏华丰享债券:每10份派0.20元,权益登记日:-10-18,除息交易日:-10-18,收益分配款发放日:-10-22
()广发纯债债券A:每10份派0.11元,权益登记日:-10-18,除息交易日:-10-18,收益分配款发放日:-10-22
()广发纯债债券C:每10份派0.10元,权益登记日:-10-18,除息交易日:-10-18,收益分配款发放日:-10-22
()光大保德信信用添益债:每10份派0.15元,权益登记日:-10-18,除息交易日:-10-18,收益分配款发放日:-10-22
()广发安泽短债债券A:每10份派0.06元,权益登记日:-10-18,除息交易日:-10-18,收益分配款发放日:-10-22
()长盛盛杰一年期定开混:每10份派0.44元,权益登记日:-10-18,除息交易日:-10-18,收益分配款发放日:-10-22
()广发安泽短债债券C:每10份派0.06元,权益登记日:-10-18,除息交易日:-10-18,收益分配款发放日:-10-22
()中信保诚惠泽债券:每10份派0.10元,权益登记日:-10-18,除息交易日:-10-18,收益分配款发放日:-10-22
()博时景发纯债债券:每10份派0.42元,权益登记日:-10-18,除息交易日:-10-18,收益分配款发放日:-10-22
()广发集利一年定期开放:每10份派0.13元,权益登记日:-10-18,除息交易日:-10-18,收益分配款发放日:-10-22
()交银纯债债券发起A/B:每10份派0.13元,权益登记日:-10-18,除息交易日:-10-18,收益分配款发放日:-10-22
()广发集利一年定期开放:每10份派0.12元,权益登记日:-10-18,除息交易日:-10-18,收益分配款发放日:-10-22
()交银纯债债券发起C:每10份派0.13元,权益登记日:-10-18,除息交易日:-10-18,收益分配款发放日:-10-22
()广发聚鑫债券A:每10份派0.37元,权益登记日:-10-18,除息交易日:-10-18,收益分配款发放日:-10-22
()广发聚鑫债券C:每10份派0.33元,权益登记日:-10-18,除息交易日:-10-18,收益分配款发放日:-10-22
()博时汇享纯债债券A:每10份派0.15元,权益登记日:-10-18,除息交易日:-10-18,收益分配款发放日:-10-22
收益分配除息日
()民生加银平稳增利A:每10份派0.10元,权益登记日:-10-22,除息交易日:-10-22,收益分配款发放日:-10-24
()民生加银平稳增利C:每10份派0.10元,权益登记日:-10-22,除息交易日:-10-22,收益分配款发放日:-10-24
()上投摩根纯债丰利债券:每10份派0.11元,权益登记日:-10-22,除息交易日:-10-22,收益分配款发放日:-10-23
()上投摩根稳进回报混合:每10份派0.02元,权益登记日:-10-22,除息交易日:-10-22,收益分配款发放日:-10-23
()华安强化收益债券A:每10份派0.21元,权益登记日:-10-22,除息交易日:-10-22,收益分配款发放日:-10-23
()华安强化收益债券B:每10份派0.18元,权益登记日:-10-22,除息交易日:-10-22,收益分配款发放日:-10-23
()华安信用四季红债券A:每10份派0.09元,权益登记日:-10-22,除息交易日:-10-22,收益分配款发放日:-10-23
()华安信用四季红债券C:每10份派0.07元,权益登记日:-10-22,除息交易日:-10-22,收益分配款发放日:-10-23
()长信稳进资产配置混合:每10份派0.39元,权益登记日:-10-23,除息交易日:-10-22,收益分配款发放日:-10-25
()嘉实超短债债券:每10份派0.03元,权益登记日:-10-22,除息交易日:-10-22,收益分配款发放日:-10-23
()鹏华丰惠债券:每10份派0.37元,权益登记日:-10-22,除息交易日:-10-22,收益分配款发放日:-10-24
()金鹰添瑞中短债A:每10份派0.10元,权益登记日:-10-22,除息交易日:-10-22,收益分配款发放日:-10-24
()金鹰添瑞中短债C:每10份派0.10元,权益登记日:-10-22,除息交易日:-10-22,收益分配款发放日:-10-24
()鹏华丰茂债券:每10份派0.35元,权益登记日:-10-22,除息交易日:-10-22,收益分配款发放日:-10-24
()上投摩根安鑫回报混合:每10份派0.13元,权益登记日:-10-22,除息交易日:-10-22,收益分配款发放日:-10-23
()博时裕荣纯债债券:每10份派0.22元,权益登记日:-10-22,除息交易日:-10-22,收益分配款发放日:-10-24
()民生加银平稳添利债券:每10份派0.20元,权益登记日:-10-22,除息交易日:-10-22,收益分配款发放日:-10-24
权益登记日
()民生加银平稳增利A:每10份派0.10元,权益登记日:-10-22,除息交易日:-10-22,收益分配款发放日:-10-24
()民生加银平稳增利C:每10份派0.10元,权益登记日:-10-22,除息交易日:-10-22,收益分配款发放日:-10-24
()上投摩根纯债丰利债券:每10份派0.11元,权益登记日:-10-22,除息交易日:-10-22,收益分配款发放日:-10-23
()上投摩根稳进回报混合:每10份派0.02元,权益登记日:-10-22,除息交易日:-10-22,收益分配款发放日:-10-23
()华安强化收益债券A:每10份派0.21元,权益登记日:-10-22,除息交易日:-10-22,收益分配款发放日:-10-23
()华安强化收益债券B:每10份派0.18元,权益登记日:-10-22,除息交易日:-10-22,收益分配款发放日:-10-23
()华安信用四季红债券C:每10份派0.07元,权益登记日:-10-22,除息交易日:-10-22,收益分配款发放日:-10-23
()嘉实超短债债券:每10份派0.03元,权益登记日:-10-22,除息交易日:-10-22,收益分配款发放日:-10-23
()嘉实全球房地产(QDII):每10份派0.16元,权益登记日:-10-22,除息交易日:-10-21,收益分配款发放日:-10-24
()鹏华丰惠债券:每10份派0.37元,权益登记日:-10-22,除息交易日:-10-22,收益分配款发放日:-10-24
()金鹰添瑞中短债A:每10份派0.10元,权益登记日:-10-22,除息交易日:-10-22,收益分配款发放日:-10-24
()金鹰添瑞中短债C:每10份派0.10元,权益登记日:-10-22,除息交易日:-10-22,收益分配款发放日:-10-24
()鹏华丰茂债券:每10份派0.35元,权益登记日:-10-22,除息交易日:-10-22,收益分配款发放日:-10-24
()上投摩根安鑫回报混合:每10份派0.13元,权益登记日:-10-22,除息交易日:-10-22,收益分配款发放日:-10-23
()博时裕荣纯债债券:每10份派0.22元,权益登记日:-10-22,除息交易日:-10-22,收益分配款发放日:-10-24
()民生加银平稳添利债券:每10份派0.20元,权益登记日:-10-22,除息交易日:-10-22,收益分配款发放日:-10-24
拟披露季报
()荣华实业:拟披露季报
()塔牌集团:拟披露季报
()民和股份:拟披露季报
()智度股份:拟披露季报
()蓝色光标:拟披露季报
()康旗股份:拟披露季报
()宁波热电:拟披露季报
()华斯股份:拟披露季报
()辉丰股份:拟披露季报
()航民股份:拟披露季报
()中颖电子:拟披露季报
()九州通:拟披露季报
()中国联通:拟披露季报
()宁波联合:拟披露季报
()金字火腿:拟披露季报
()平安银行:拟披露季报
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()荃银高科:拟披露季报
()新华都:拟披露季报
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()神州高铁:拟披露季报
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()我武生物:拟披露季报
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()新野纺织:拟披露季报
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()中电环保:拟披露季报
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()创业慧康:拟披露季报
()山河药辅:拟披露季报
()安井食品:拟披露季报
()明泰铝业:拟披露季报
()百傲化学:拟披露季报
()双箭股份:拟披露季报
()大北农:拟披露季报
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()厚普股份:拟披露季报
()哈空调:拟披露季报
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()建研集团:拟披露季报
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()远东传动:拟披露季报
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()长鹰信质:拟披露季报
()通合科技:拟披露季报
()新农股份:拟披露季报
()保变电气:拟披露季报
()上海新阳:拟披露季报
()中科创达:拟披露季报
()宁波东力:拟披露季报
()浙江美大:拟披露季报
()达实智能:拟披露季报
()星湖科技:拟披露季报
()金河生物:拟披露季报
()新莱应材:拟披露季报
()粤传媒:拟披露季报
()全聚德:拟披露季报
()北陆药业:拟披露季报
()思美传媒:拟披露季报
()华星创业:拟披露季报
()珠江啤酒:拟披露季报
()博创科技:拟披露季报
()古鳌科技:拟披露季报
()安德利:拟披露季报
()新宙邦:拟披露季报
()三全食品:拟披露季报
()燕塘乳业:拟披露季报
()立讯精密:拟披露季报
()神宇股份:拟披露季报
()濮耐股份:拟披露季报
货币型基金结转份额可赎回起始日
()嘉实货币A:基金收益支付日:-10-21,基金收益结转份额日:-10-21,基金结转份额可赎回起始日:-10-22基金再投资份额到帐日:-10-21,
()嘉实货币B:基金收益支付日:-10-21,基金收益结转份额日:-10-21,基金结转份额可赎回起始日:-10-22基金再投资份额到帐日:-10-21,
恢复交易日
()大烨智能:因刊登重要事项公告,连续停牌,停牌起始日:-10-21,恢复交易日:-10-22
()通产丽星:因刊登重要事项公告,连续停牌,停牌起始日:-10-21,恢复交易日:-10-22
()淮河能源:拟筹划重大资产重组,连续停牌,停牌起始日:-10-09,恢复交易日:-10-22
()银华信用四季红债券A:大额转换转入,连续停牌,停牌起始日:-10-16,恢复交易日:-10-22
()银华信用四季红债券C:大额定期定额投资,连续停牌,停牌起始日:-10-16,恢复交易日:-10-22
()东方红稳健精选混合A:大额定期定额投资,连续停牌,停牌起始日:-07-09,恢复交易日:-10-22
()东方红稳健精选混合C:大额定期定额投资,连续停牌,停牌起始日:-07-09,恢复交易日:-10-22
红利发放日
()开能健康:年中期分红,10派0.(含税),税后10派0.红利发放日
登记日
()杭钢股份:年中期分红,10派1.(含税),税后10派1.登记日
除权除息日
()开能健康:年中期分红,10派0.(含税),税后10派0.除权日
(文章来源:东方财富研究中心)
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