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(1/11) next week, Shanghai and Shenzhen listed companies announced major issues

January 11, 2019 15:17
source: Eastern Fortune Network

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  January 14 (Monday)

  Convene a general meeting of shareholders

(000058)Deep SEG: Convening the 1st Extraordinary General Meeting of Shareholders of 2019

(600122)Hongtu Hi-Tech: Convening the 1st Extraordinary General Meeting of Shareholders of 2019

(601828)Mei Kailong: Convening the 1st Extraordinary General Meeting of Shareholders of 2019

(600626)Shenda shares: Convening the 1st Extraordinary General Meeting of Shareholders of 2019

(600828)Maoye Business: Convening the 1st Extraordinary General Meeting of Shareholders of 2019

(600482)China Power: Convening the 1st Extraordinary General Meeting of Shareholders of 2019

(300187)Yongqing Environmental Protection: Convening the 1st Extraordinary General Meeting of Shareholders of 2019

(300358)Chutian Technology: Convening the 1st Extraordinary General Meeting of Shareholders of 2019

(600886)SDIC Power: Convening the 1st Extraordinary General Meeting of Shareholders of 2019

(300392)Tengxin shares: Convening the 1st Extraordinary General Meeting of Shareholders of 2019

(300577)Kairun shares: Convening the 1st Extraordinary General Meeting of Shareholders of 2019

(200025)Tellus B: Convening the 1st Extraordinary General Meeting of Shareholders of 2019

(600728)Jiadu Technology: Convening the 1st Extraordinary General Meeting of Shareholders of 2019

(002721)Jin Yi Culture: Convening the 1st Extraordinary General Meeting of Shareholders of 2019

(000025)Tellus A: Convening the 1st Extraordinary General Meeting of Shareholders of 2019

(300041)Huitian new material: Convening the 1st Extraordinary General Meeting of Shareholders of 2019

(900917)Haixin B shares: Convening the 1st Extraordinary General Meeting of Shareholders of 2019

(300091)Jin Tongling: Convening the 1st Extraordinary General Meeting of Shareholders of 2019

(002069)Zhangzidao: Convening the 1st Extraordinary General Meeting of Shareholders of 2019

(603035)Changshu Auto Accessories: Convening the 1st Extraordinary General Meeting of Shareholders of 2019

(600851)Haixin shares: Convening the 1st Extraordinary General Meeting of Shareholders of 2019

(600498)Bonfire communication: Convening the 1st Extraordinary General Meeting of Shareholders of 2019

(603023)Weidi Shares: Convening the 1st Extraordinary General Meeting of Shareholders of 2019

(300561)Huijin Technology: Convening the 1st Extraordinary General Meeting of Shareholders of 2019

(300213)Jiaxun Feihong: Convening the 1st Extraordinary General Meeting of Shareholders of 2019

(300046)Taiwan base: Convening the 1st Extraordinary General Meeting of Shareholders of 2019

(000889)Zhongjia Bochuang: Convening the 1st Extraordinary General Meeting of Shareholders of 2019

(300348)Changliang Technology: Convening the 1st Extraordinary General Meeting of Shareholders of 2019

(002776)Baibaolong: Convening the 1st Extraordinary General Meeting of Shareholders of 2019

(002776) Baibaolong: Held the 1st Extraordinary General Meeting of Shareholders of 2019

(002688)Golden River Creature: Convening the 1st Extraordinary General Meeting of Shareholders of 2019

(002217)Helitai: Convening the 1st Extraordinary General Meeting of Shareholders of 2019

(603822)Jiaao Environmental Protection: Convening the 1st Extraordinary General Meeting of Shareholders of 2019

(300243)Ruifeng high material: Convening the 1st Extraordinary General Meeting of Shareholders of 2019

(000166)Shen Wanhongyuan: Convening the 1st Extraordinary General Meeting of Shareholders of 2019

(300682)Longxin Technology: Convening the 1st Extraordinary General Meeting of Shareholders of 2019

(002624)a perfect world: Convening the 1st Extraordinary General Meeting of Shareholders of 2019

(000905)Xiamen Port: Convening the 1st Extraordinary General Meeting of Shareholders of 2019

(002255)Hailu Heavy Industry: Convening the 1st Extraordinary General Meeting of Shareholders of 2019

(002362)Hanwang Technology: Convening the 1st Extraordinary General Meeting of Shareholders of 2019

(002741)Guanghua Technology: Convening the 1st Extraordinary General Meeting of Shareholders of 2019

(600547)Shandong Gold: Convening the 1st Extraordinary General Meeting of Shareholders of 2019

(300292)Wutong Holdings: Convening the 1st Extraordinary General Meeting of Shareholders of 2019

(300297)Blue Shield: Convening the 1st Extraordinary General Meeting of Shareholders of 2019

(600713)Nanjing Pharmaceutical: Convening the 1st Extraordinary General Meeting of Shareholders of 2019

(600249)Double needle: Convening the 1st Extraordinary General Meeting of Shareholders of 2019

(000736)CCCC Real Estate: Convening the 1st Extraordinary General Meeting of Shareholders of 2019

(600978)Yihua Life: Convening the 1st Extraordinary General Meeting of Shareholders of 2019

(600068)Gezhouba: Convening the 1st Extraordinary General Meeting of Shareholders of 2019

(600340)Huaxia happiness: Convening the 1st Extraordinary General Meeting of Shareholders of 2019

(603908)Mu Gaodi: Convening the 1st Extraordinary General Meeting of Shareholders of 2019

(600701)*ST Gongxin: Convening the 1st Extraordinary General Meeting of Shareholders of 2019

(600666)Oride: Convening the 1st Extraordinary General Meeting of Shareholders of 2019

(002422)Columbine Pharmaceuticals: Convening the 1st Extraordinary General Meeting of Shareholders of 2019

(002424)Guizhou Bailing: Convening the 1st Extraordinary General Meeting of Shareholders of 2019

(200058)Deep SEG B: Convening the 1st Extraordinary General Meeting of Shareholders of 2019

  Bond interest date

(150078) 18 Merchants C1: Creditor registration date: 2019-01-11, bond ex-dividend ex-dividend date: 2019-01-14, interest rate of RMB 65,600 per 100 yuan, bond interest payment date: 2019-01-14

(150089) 18 Kailuan 01: Creditor registration date: 2019-01-11, bond ex-dividend ex-dividend date: 2019-01-14, interest rate per 100 yuan 7.500 yuan, bond interest payment date: 2019-01-14

(150079) 18 Shouguang 01: Debt registration date: 2019-01-11, bond ex-dividend ex-dividend date: 2019-01-14, interest rate per 100 yuan 7.500 yuan, bond interest payment date: 2019-01-14

(150096) 18 Jin Guan 01: Debt registration date: 2019-01-11, bond ex-dividend ex-dividend date: 2019-01-14, interest rate per 100 yuan 7.500 yuan, bond interest payment date: 2019-01-14

  Bond ex-dividend ex-dividend date

(150078) 18 Merchants C1: Creditor registration date: 2019-01-11, bond ex-dividend ex-dividend date: 2019-01-14, interest rate of RMB 65,600 per 100 yuan, bond interest payment date: 2019-01-14

(150089) 18 Kailuan 01: Creditor registration date: 2019-01-11, bond ex-dividend ex-dividend date: 2019-01-14, interest rate per 100 yuan 7.500 yuan, bond interest payment date: 2019-01-14

(150079) 18 Shouguang 01: Debt registration date: 2019-01-11, bond ex-dividend ex-dividend date: 2019-01-14, interest rate per 100 yuan 7.500 yuan, bond interest payment date: 2019-01-14

(150096) 18 Jin Guan 01: Debt registration date: 2019-01-11, bond ex-dividend ex-dividend date: 2019-01-14, interest rate per 100 yuan 7.500 yuan, bond interest payment date: 2019-01-14

  Income distribution date

(968004) Morgan Asia Bond US Dollar Cash: 0.34 yuan for every 10 shares, equity registration date: 2018-12-28, ex-dividend trading day: 2018-12-28, income distribution payment date: 2019-01-14

(164810) ICBC Pure Bonds Regular Open Bonds: 0.34 yuan for every 10 shares, equity registration date: 2019-01-10, ex-dividend trading day: 2019-01-10, income distribution payment date: 2019-01-14

(164808) ICBC Four Seasons Income Bond (LOF: 0.09 yuan for every 10 shares, equity registration date: 2019-01-10, ex-dividend trading day: 2019-01-10, distribution date of income distribution: 2019-01-14

(166008) Central European Enhanced Return Bonds (LOF: 0.14 yuan per 10 shares, equity registration date: 2019-01-10, ex-dividend trading day: 2019-01-10, income distribution payment date: 2019-01-14

(001889) China-EU Enhanced Return Bonds (LOF: 0.14 yuan per 10 shares, equity registration date: 2019-01-10, ex-dividend trading day: 2019-01-10, income distribution payment date: 2019-01-14

(005666) Shangyin Huijiaying Bond: 0.27 yuan for every 10 shares, equity registration date: 2019-01-10, ex-dividend trading day: 2019-01-10, income distribution payment date: 2019-01-14

(184801) Penghua Qianhai Vanke REITS: 74.31 yuan for every 10 shares, equity registration date: 2019-01-10, ex-dividend transaction date: 2019-01-10, income distribution payment date: 2019-01-14

(151002) Galaxy income bond: 0.10 yuan for every 10 shares, equity registration date: 2019-01-11, ex-dividend transaction date: 2019-01-11, income distribution payment date: 2019-01-14

(000351) Guofu Hengfeng Term Bond A: 0.21 yuan for every 10 shares, equity registration date: 2019-01-11, ex-dividend transaction date: 2019-01-11, income distribution payment date: 2019-01-14

(000352) Guofu Hengfeng Term Bond C: 0.20 yuan for every 10 shares, equity registration date: 2019-01-11, ex-dividend transaction date: 2019-01-11, income distribution payment date: 2019-01-14

  Income distribution ex-dividend date

(000437) Rongtong Monthly Month is regularly open: 0.06 yuan for every 10 shares, equity registration date: 2019-01-14, ex-dividend transaction date: 2019-01-14, income distribution payment date: 2019-01-16

(003486) Ping An Huilong Pure Bond Bond: 0.30 yuan for every 10 shares, equity registration date: 2019-01-14, ex-dividend trading day: 2019-01-14, income distribution payment date: 2019-01-15

(000801) China Gold Pure Bond Bond A: 0.54 yuan for every 10 shares, equity registration date: 2019-01-14, ex-dividend transaction date: 2019-01-14, income distribution payment date: 2019-01-15

(000801) China Gold Pure Bond Bond A: 0.54 yuan for every 10 shares, equity registration date: 2019-01-14, ex-dividend transaction date: 2019-01-14, income distribution payment date: 2019-01-15

(000802) China Gold Pure Bond Bond C: 0.45 yuan for every 10 shares, equity registration date: 2019-01-14, ex-dividend trading day: 2019-01-14, income distribution payment date: 2019-01-15

(000802) China Gold Pure Bond Bond C: 0.45 yuan for every 10 shares, equity registration date: 2019-01-14, ex-dividend trading day: 2019-01-14, income distribution payment date: 2019-01-15

(020018) Cathay Pacific Golden Deer Guaranteed Mix: 0.32 yuan for every 10 shares, equity registration date: 2019-01-14, ex-dividend transaction date: 2019-01-14, income distribution payment date: 2019-01-15

(020033) Guotai Min'an Zengli Bond A: 0.22 yuan for every 10 shares, equity registration date: 2019-01-14, ex-dividend trading day: 2019-01-14, income distribution payment date: 2019-01-15

(020034) Guotai Min'an Zengli Bond C: 0.17 yuan for every 10 shares, equity registration date: 2019-01-14, ex-dividend trading day: 2019-01-14, income distribution payment date: 2019-01-15

(360013) Everbright Prudential Credit Adding Debt: 0.10 yuan for every 10 shares, equity registration date: 2019-01-14, ex-dividend transaction date: 2019-01-14, income distribution payment date: 2019-01-16

(360014) Everbright Prudential Credit Addition Debt: 0.08 yuan for every 10 shares, equity registration date: 2019-01-14, ex-dividend transaction date: 2019-01-14, income distribution payment date: 2019-01-16

(519784) Bank of Communications is still earning bond A: 0.55 yuan for every 10 shares, equity registration date: 2019-01-14, ex-dividend transaction date: 2019-01-14, income distribution payment date: 2019-01-16

(519785) Bank of China is still earning bond C: 0.50 yuan for every 10 shares, equity registration date: 2019-01-14, ex-dividend transaction date: 2019-01-14, income distribution payment date: 2019-01-16

(519723) Bank of Communications dual-role bond A: 0.11 yuan for every 10 shares, equity registration date: 2019-01-14, ex-dividend transaction date: 2019-01-14, income distribution payment date: 2019-01-16

(519725) Bank of Communications dual-role bond C: 0.11 yuan for every 10 shares, equity registration date: 2019-01-14, ex-dividend transaction date: 2019-01-14, income distribution payment date: 2019-01-16

(004334) Bo Shi Guangli 3 months fixed debt: every 10 shares sent 0.14 yuan, equity registration date: 2019-01-14, ex-dividend trading day: 2019-01-14, income distribution payment date: 2019-01- 16

(519680) Bank of Communications Bonds A/B: 0.18 yuan for every 10 shares, equity registration date: 2019-01-14, ex-dividend trading day: 2019-01-14, income distribution payment date: 2019-01-16

(004838) Cinda Ao Yin An Yi Pure Bond Bond: 0.21 yuan for every 10 shares, equity registration date: 2019-01-14, ex-dividend transaction date: 2019-01-14, income distribution payment date: 2019-01- 15

(519682) Bank of Communications Increased Bond C: 0.18 yuan for every 10 shares, equity registration date: 2019-01-14, ex-dividend transaction date: 2019-01-14, income distribution payment date: 2019-01-16

(165509) Xincheng Enhanced Income Bond (LOF: 0.06 yuan for every 10 shares, equity registration date: 2019-01-14, ex-dividend trading day: 2019-01-14, income distribution payment date: 2019-01-16

(005010) Jinying Tianrui Short-term Debt A: 0.12 yuan for every 10 shares, equity registration date: 2019-01-14, ex-dividend trading day: 2019-01-14, income distribution payment date: 2019-01-16

(519718) A/B issued by Bank of Communications Bonds: 0.20 yuan for every 10 shares, equity registration date: 2019-01-14, ex-dividend transaction date: 2019-01-14, income distribution payment date: 2019-01- 16

(005011) Golden Eagle Timui Medium and Short Debt C: 0.12 yuan for every 10 shares, equity registration date: 2019-01-14, ex-dividend trading day: 2019-01-14, income distribution payment date: 2019-01-16

(519720) Bank of China Pure Bond Bonds C: 0.14 yuan for every 10 shares, equity registration date: 2019-01-14, ex-dividend trading day: 2019-01-14, income distribution payment date: 2019-01-16

(005577) Bank of Communications's income bond A: 0.34 yuan for every 10 shares, equity registration date: 2019-01-14, ex-dividend transaction date: 2019-01-14, income distribution payment date: 2019-01-16

(005578) Bank of Communications Fengming Income Bond C: 0.30 yuan for every 10 shares, equity registration date: 2019-01-14, ex-dividend trading day: 2019-01-14, income distribution payment date: 2019-01-16

  Equity registration date

(000437) Rongtong Monthly Month is regularly open: 0.06 yuan for every 10 shares, equity registration date: 2019-01-14, ex-dividend transaction date: 2019-01-14, income distribution payment date: 2019-01-16

(003486) Ping An Huilong Pure Bond Bond: 0.30 yuan for every 10 shares, equity registration date: 2019-01-14, ex-dividend trading day: 2019-01-14, income distribution payment date: 2019-01-15

(000801) China Gold Pure Bond Bond A: 0.54 yuan for every 10 shares, equity registration date: 2019-01-14, ex-dividend transaction date: 2019-01-14, income distribution payment date: 2019-01-15

(000801) China Gold Pure Bond Bond A: 0.54 yuan for every 10 shares, equity registration date: 2019-01-14, ex-dividend transaction date: 2019-01-14, income distribution payment date: 2019-01-15

(000802) China Gold Pure Bond Bond C: 0.45 yuan for every 10 shares, equity registration date: 2019-01-14, ex-dividend trading day: 2019-01-14, income distribution payment date: 2019-01-15

(000802) China Gold Pure Bond Bond C: 0.45 yuan for every 10 shares, equity registration date: 2019-01-14, ex-dividend trading day: 2019-01-14, income distribution payment date: 2019-01-15

(020018) Cathay Pacific Golden Deer Guaranteed Mix: 0.32 yuan for every 10 shares, equity registration date: 2019-01-14, ex-dividend transaction date: 2019-01-14, income distribution payment date: 2019-01-15

(020033) Guotai Min'an Zengli Bond A: 0.22 yuan for every 10 shares, equity registration date: 2019-01-14, ex-dividend trading day: 2019-01-14, income distribution payment date: 2019-01-15

(020034) Guotai Min'an Zengli Bond C: 0.17 yuan for every 10 shares, equity registration date: 2019-01-14, ex-dividend trading day: 2019-01-14, income distribution payment date: 2019-01-15

(360013) Everbright Prudential Credit Adding Debt: 0.10 yuan for every 10 shares, equity registration date: 2019-01-14, ex-dividend transaction date: 2019-01-14, income distribution payment date: 2019-01-16

(360014) Everbright Prudential Credit Addition Debt: 0.08 yuan for every 10 shares, equity registration date: 2019-01-14, ex-dividend transaction date: 2019-01-14, income distribution payment date: 2019-01-16

(519784) Bank of Communications is still earning bond A: 0.55 yuan for every 10 shares, equity registration date: 2019-01-14, ex-dividend transaction date: 2019-01-14, income distribution payment date: 2019-01-16

(519785) Bank of China is still earning bond C: 0.50 yuan for every 10 shares, equity registration date: 2019-01-14, ex-dividend transaction date: 2019-01-14, income distribution payment date: 2019-01-16

(519723) Bank of Communications dual-role bond A: 0.11 yuan for every 10 shares, equity registration date: 2019-01-14, ex-dividend transaction date: 2019-01-14, income distribution payment date: 2019-01-16

(519725) Bank of Communications dual-role bond C: 0.11 yuan for every 10 shares, equity registration date: 2019-01-14, ex-dividend transaction date: 2019-01-14, income distribution payment date: 2019-01-16

(004334) Bo Shi Guangli 3 months fixed debt: every 10 shares sent 0.14 yuan, equity registration date: 2019-01-14, ex-dividend trading day: 2019-01-14, income distribution payment date: 2019-01- 16

(519680) Bank of Communications Bonds A/B: 0.18 yuan for every 10 shares, equity registration date: 2019-01-14, ex-dividend trading day: 2019-01-14, income distribution payment date: 2019-01-16

(004838) Cinda Ao Yin An Yi Pure Bond Bond: 0.21 yuan for every 10 shares, equity registration date: 2019-01-14, ex-dividend transaction date: 2019-01-14, income distribution payment date: 2019-01- 15

(519682) Bank of Communications Increased Bond C: 0.18 yuan for every 10 shares, equity registration date: 2019-01-14, ex-dividend transaction date: 2019-01-14, income distribution payment date: 2019-01-16

(165509) Xincheng Enhanced Income Bond (LOF: 0.06 yuan for every 10 shares, equity registration date: 2019-01-14, ex-dividend trading day: 2019-01-14, income distribution payment date: 2019-01-16

(005010) Jinying Tianrui Short-term Debt A: 0.12 yuan for every 10 shares, equity registration date: 2019-01-14, ex-dividend trading day: 2019-01-14, income distribution payment date: 2019-01-16

(519718) A/B issued by Bank of Communications Bonds: 0.20 yuan for every 10 shares, equity registration date: 2019-01-14, ex-dividend transaction date: 2019-01-14, income distribution payment date: 2019-01- 16

(005011) Golden Eagle Timui Medium and Short Debt C: 0.12 yuan for every 10 shares, equity registration date: 2019-01-14, ex-dividend trading day: 2019-01-14, income distribution payment date: 2019-01-16

(519720) Bank of China Pure Bond Bonds C: 0.14 yuan for every 10 shares, equity registration date: 2019-01-14, ex-dividend trading day: 2019-01-14, income distribution payment date: 2019-01-16

(005577) Bank of Communications's income bond A: 0.34 yuan for every 10 shares, equity registration date: 2019-01-14, ex-dividend transaction date: 2019-01-14, income distribution payment date: 2019-01-16

(005578) Bank of Communications Fengming Income Bond C: 0.30 yuan for every 10 shares, equity registration date: 2019-01-14, ex-dividend trading day: 2019-01-14, income distribution payment date: 2019-01-16

  OpenFund issuanceStarting date

(006893) Huitian Fufengli Short-Term Bonds: Issue date 2019-01-14 to 2019-02-28,Bond fund, the fund manager isHuitianfu FundManagement company

(006834) ICBC Premium Short-Term Bond A: Issue date 2019-01-14 to 2019-01-25, bond fund, fund manager isICBC Credit Suisse FundManagement Ltd.

(006835) ICBC honours short-term debt bonds C: Issue date 2019-01-14 to 2019-01-25, bond fund, fund manager is ICBC Credit Suisse Fund Management Co., Ltd.

(006797) Harvest Real-term Debt Bond A: Issue date 2019-01-14 to 2019-01-18, bond fund, fund manager isHarvest FundManagement Ltd.

(006798) Harvest Real-term Debt Bond C: Issue date 2019-01-14 to 2019-01-18, bond fund, fund manager is Harvest Fund Management Co., Ltd.

(006764)InvescoGreat Wall Jingtai Xinli Pure Debt: Issue date 2019-01-14 to 2019-01-18, bond fund, fund manager is InvescoGreat Wall FundManagement Ltd.

(006857) Honeycomb Zhuo Rui Mix A: Issue date 2019-01-14 to 2019-01-31, stock bond balance fund, fund manager is Honeycomb Fund Management Co., Ltd.

(006858) Honeycomb Zhuo Rui Mix C: Issue date 2019-01-14 to 2019-01-31, stock bond balance fund, fund manager is Honeycomb Fund Management Co., Ltd.

(006838) Xinyuan Rongli is open regularly for three months: issue date 2019-01-14 to 2019-01-18, bond fund, fund manager isXinyuan FundManagement Ltd.

(006356) Guorong Stable Bond A: Issue date 2019-01-14 to 2019-01-25, bond fund, fund manager is Guorong Fund Management Co., Ltd.

(006357) Guorong Stable Bond C: Issue date 2019-01-14 to 2019-01-25, bond fund, fund manager is Guorong Fund Management Co., Ltd.

  Open-end fund issuance deadline

(006481) Haifutong Shangqing Short-term Bond: Issue date 2018-11-15 to 2019-01-14, bond fund, fund manager isHaifutong FundManagement Ltd.

(005929) Chuangjin Hexin Huili Pure Debt for three years: Issue date 2018-10-15 to 2019-01-14, bond fund, fund manager is Chuangjin Hexin Fund Management Co., Ltd.

(005930) Chuangjin Hexin Huili Pure Debt for three years: Issue date 2018-10-15 to 2019-01-14, bond fund, fund manager is Chuangjin Hexin Fund Management Co., Ltd.

(006526) Penghua preferred return mix: issue date 2018-10-15 to 2019-01-14, stock bond balance fund, fund manager isPenghua FundManagement Ltd.

(005970) Cathay Pacific Consumer Preferred Stock: Issue date 2018-10-15 to 2019-01-14,Partial stock fund, the fund manager isGuotai FundManagement Ltd.

  Monetary fundCarryover share redeemable start date

(519508) Wanjia Currency A: Fund income payment date: 2019-01-10, fund income carry-over share date: 2019-01-10, fund carry-over share redeemable start date: 2019-01-14 fund again Investment share date: 2019-01-11,

(519507) Wanjia Currency B: Fund income payment date: 2019-01-10, fund income carry-over share date: 2019-01-10, fund carry-over share redeemable start date: 2019-01-14 fund re Investment share date: 2019-01-11,

(000764) Wanjia Currency E: Fund income payment date: 2019-01-10, fund income carry-over share date: 2019-01-10, fund carry-over share redeemable start date: 2019-01-14 fund again Investment share date: 2019-01-11,

(519501) Wanjia Currency R: Fund income payment date: 2019-01-10, fund income carry-over share date: 2019-01-10, fund carry-over share redeemable start date: 2019-01-14 fund Investment share date: 2019-01-11,

  Recovery trading day

(159919) Harvest Shishen 300ETF: Continuation due to publication of important mattersSuspension, suspension start date: 2019-01-11, recovery trading day: 2019-01-14

                (Editor: DF062)

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