| 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 |
|---|---|---|---|---|---|
| 2025-09-23 | 2025-09-23 | 2025-09-25 | 0.08元 | 2025-09-20 | 0.76% |
| 2025-06-18 | 2025-06-18 | 2025-06-20 | 0.08元 | 2025-06-17 | 0.77% |
| 2025-03-25 | 2025-03-25 | 2025-03-27 | 0.08元 | 2025-03-21 | 0.77% |
| 2024-12-26 | 2024-12-26 | 2024-12-30 | 0.08元 | 2024-12-25 | 0.77% |
| 2024-09-24 | 2024-09-24 | 2024-09-26 | 0.08元 | 2024-09-20 | 0.77% |
| 2024-06-25 | 2024-06-25 | 2024-06-27 | 0.08元 | 2024-06-21 | 0.77% |
| 2024-03-25 | 2024-03-25 | 2024-03-27 | 0.08元 | 2024-03-21 | 0.77% |
| 2023-12-19 | 2023-12-19 | 2023-12-21 | 0.08元 | 2023-12-15 | 0.78% |
| 2023-09-19 | 2023-09-19 | 2023-09-21 | 0.08元 | 2023-09-15 | 0.78% |
| 2023-06-27 | 2023-06-27 | 2023-06-29 | 0.08元 | 2023-06-21 | 0.78% |
| 2023-03-14 | 2023-03-14 | 2023-03-16 | 0.10元 | 2023-03-10 | 0.97% |
| 2022-12-15 | 2022-12-15 | 2022-12-19 | 0.08元 | 2022-12-13 | 0.78% |
| 2022-09-20 | 2022-09-20 | 2022-09-22 | 0.08元 | 2022-09-16 | 0.78% |
| 2022-06-21 | 2022-06-21 | 2022-06-23 | 0.08元 | 2022-06-18 | 0.78% |
| 2022-03-22 | 2022-03-22 | 2022-03-24 | 0.08元 | 2022-03-19 | 0.78% |
| 2021-12-17 | 2021-12-17 | 2021-12-21 | 0.04元 | 2021-12-15 | 0.39% |
| 2021-09-17 | 2021-09-17 | 2021-09-23 | 0.14元 | 2021-09-15 | 1.37% |
| 2021-03-25 | 2021-03-25 | 2021-03-29 | 0.10元 | 2021-03-23 | 0.99% |
| 2020-12-16 | 2020-12-16 | 2020-12-18 | 0.10元 | 2020-12-14 | 0.99% |
创金合信泰博66个月定开债券自成立以来,累计分红19次,累计分红金额占最近报告期基金规模比:0.80%
