| 权益登记日 | 除息日 | 现金红利发放日 | 每10份基金分红 | 分红基准日 | 分红金额占基准日 >基金规模比 |
|---|---|---|---|---|---|
| 2025-11-28 | 2025-11-28 | 2025-12-02 | 0.02元 | 2025-11-27 | 0.20% |
| 2025-10-31 | 2025-10-31 | 2025-11-04 | 0.02元 | 2025-10-30 | 0.20% |
| 2025-09-26 | 2025-09-26 | 2025-09-30 | 0.02元 | 2025-09-24 | 0.20% |
| 2025-08-29 | 2025-08-29 | 2025-09-02 | 0.02元 | 2025-08-28 | 0.20% |
| 2025-07-25 | 2025-07-25 | 2025-07-29 | 0.02元 | 2025-07-24 | 0.20% |
| 2025-06-27 | 2025-06-27 | 2025-07-01 | 0.02元 | 2025-06-26 | 0.20% |
| 2025-05-30 | 2025-05-30 | 2025-06-04 | 0.02元 | 2025-05-29 | 0.20% |
| 2025-04-25 | 2025-04-25 | 2025-04-29 | 0.02元 | 2025-04-23 | 0.20% |
| 2025-03-28 | 2025-03-28 | 2025-04-01 | 0.02元 | 2025-03-26 | 0.20% |
| 2025-02-28 | 2025-02-28 | 2025-03-04 | 0.02元 | 2025-02-26 | 0.20% |
| 2025-01-27 | 2025-01-27 | 2025-02-06 | 0.02元 | 2025-01-25 | 0.20% |
| 2024-12-27 | 2024-12-27 | 2024-12-31 | 0.02元 | 2024-12-25 | 0.20% |
| 2024-11-29 | 2024-11-29 | 2024-12-03 | 0.02元 | 2024-11-27 | 0.20% |
| 2024-10-25 | 2024-10-25 | 2024-10-29 | 0.02元 | 2024-10-23 | 0.20% |
| 2024-09-27 | 2024-09-27 | 2024-10-08 | 0.02元 | 2024-09-25 | 0.20% |
| 2024-08-30 | 2024-08-30 | 2024-09-03 | 0.02元 | 2024-08-28 | 0.20% |
| 2024-07-12 | 2024-07-12 | 2024-07-16 | 0.02元 | 2024-07-11 | 0.20% |
| 2024-06-28 | 2024-06-28 | 2024-07-02 | 0.23元 | 2024-06-26 | 2.10% |
| 2022-12-16 | 2022-12-16 | 2022-12-20 | 0.52元 | 2022-12-14 | 4.78% |
| 2021-11-19 | 2021-11-19 | 2021-11-23 | 0.29元 | 2021-11-18 | 2.70% |
鹏华永润一年定期开放债券自成立以来,累计分红20次,累计分红金额占最近报告期基金规模比:0.65%
