Group 1 - The announcement pertains to a management fee adjustment plan for a collective asset management product by Guosen Securities [1] - The fund is defined as a collective asset management product that has been modified according to the guidelines for regulating financial institutions' asset management business [1] - Investors are advised to monitor the management fee adjustments due to fluctuations in the money market, which may affect estimated net income and annualized yield [2] Group 2 - The management company emphasizes its commitment to managing the fund with diligence and integrity, but does not guarantee profits or minimum returns [3] - Investors are encouraged to read the relevant legal documents and understand the risk-return characteristics of the fund before making investment decisions [3] - The announcement is issued by Guosen Securities Asset Management Co., Ltd. on July 15, 2025 [4]
关于调整国信现金增利货币型集合资产管理计划管理费适用费率公告