| 权益登记日 | 除息日 | 分红发放日 | 分红 |
| 2025-12-25 | 2025-12-25 | 2025-12-29 | 每份派现金0.0060元 |
| 2025-09-23 | 2025-09-23 | 2025-09-25 | 每份派现金0.0060元 |
| 2025-06-18 | 2025-06-18 | 2025-06-20 | 每份派现金0.0060元 |
| 2025-03-26 | 2025-03-26 | 2025-03-28 | 每份派现金0.0060元 |
| 2024-12-26 | 2024-12-26 | 2024-12-30 | 每份派现金0.0070元 |
| 2024-09-24 | 2024-09-24 | 2024-09-26 | 每份派现金0.0060元 |
| 2024-06-25 | 2024-06-25 | 2024-06-27 | 每份派现金0.0060元 |
| 2024-03-25 | 2024-03-25 | 2024-03-27 | 每份派现金0.0060元 |
| 2022-04-12 | 2022-04-12 | 2022-04-14 | 每份派现金0.0440元 |
| 2020-12-17 | 2020-12-17 | 2020-12-21 | 每份派现金0.0097元 |
| 基金名称 | 单位净值 | 日增长率 |
| 创金合信资源主题A | 4.1596 | 3.18% |
| 创金合信弘科混合发起A | 1.0461 | 3.03% |
| 创金合信弘科混合发起C | 1.0457 | 3.02% |
| 创金合信工业周期股票A | 2.1046 | 1.41% |
| 创金合信工业周期股票C | 1.9975 | 1.41% |
| 创金合信新材料新能源股票A | 1.1488 | 1.07% |
| 创金合信新材料新能源股票C | 1.1149 | 1.07% |
| 创金合信中证A500指数增强A | 1.0129 | 0.76% |