债券型 > 富荣富祥纯债A
 
权益登记日红利发放日每单位基金派息(元)
2018-03-062018-03-070.023
2022-12-212022-12-220.176
2024-9-122024-9-130.0529
2024-11-132024-11-140.0501
2024-12-262024-12-270.0325