2016 09 – 30 fund trading tips 7470d

09 2016 30 July   daily equity fund trading tips; information 09 30 August (Friday)     reinvestment redemption start date great King Hing credit debt bonds A reinvestment redemption start date: 2016-09-30 great King Hing credit debt bonds C reinvestment redemption start date: 2016-09-30 king Xuchun debt A investment bond redemption start date: 2016-09-30 King Xuchun debt bonds C reinvestment redemption start date: 2016-09-30 (LOF) and Peng Hua Fengrun bond investment redemption start date: 2016-09-30 debentures Yinhua net debt (LOF) reinvestment redemption start date: 2016-09-30 GF to strengthen the bond reinvestment redemption start date: 2016-09-30 dongfanglong mixed again investment redemption start date: 2016-09-30       Fund split announcement Bo double salary paid regularly bond fund split announcement date: 2016-09-30, Fund split share: Xin Yuan 2016-10-12 share A grade bond fund split announcement: 2016-09-30 fund split share: Xin Yuan 2016-10-18 grade bonds B share fund split announcement: 2016-09-30, fund split share day: 2016-10-18       OTC fund dividend payment date every 10 A Wynn Yinhua Bonds Fund dividend tax: 0.6 yuan for every 10 shares of the fund dividend tax: 0.6 yuan, the fund equity registration date: 2016-09-29, OTC fund dividend date: 2016-09-29, OTC fund dividend payment date: 2016-09-30 C 10 per share Yinhua Wynn bond fund dividend tax: 0.6 yuan for every 10 shares of the fund dividend tax: 0.6 yuan fund. Equity registration date: 2016-09-29, OTC fund dividend date: 2016-09-29, OTC fund dividend payment date: 2016-09-30 GF Global Select Stock Exchange (QDII) for every 10 shares of the fund Dividend tax: 0.14983 yuan for every 10 shares of the fund dividend tax: 0.14983 yuan, the fund equity registration date: 2016-09-27, OTC fund dividend date: 2016-09-26, OTC fund dividend payment date: 2016-09-30 (LOF), Penghua bond every 10 shares of the fund dividend tax: 0.644 yuan for every 10 shares of the fund dividend tax: 0.644 yuan fund. Equity registration date: 2016-09-28, OTC fund dividend date: 2016-09-28, OTC fund dividend payment date: 2016-09-30 silver industry debt regularly open bond (LOF) every 10 shares of the fund dividend tax: 0.3 yuan, 10 per share after tax dividends Fund: 0.3 yuan, the fund equity registration date: 2016-;相关的主题文章: