Group 1 - The company has signed a distribution agreement with Guotai Junan Securities, allowing investors to subscribe, redeem, and convert funds starting from August 5, 2025 [1][2]. - The applicable funds for this agreement are subject to the status of being open for subscription, and investors must adhere to the relevant announcements and regulations from the company and sales institutions [1]. - The fee discount activity will commence on August 5, 2025, with no discount limit on subscription fees for the listed funds under the front-end charging model [2][3]. Group 2 - The fee discount is only applicable to the subscription fees of open funds under the front-end charging model and does not include redemption fees or other service charges [3]. - The interpretation rights of the fee discount activity belong to Guotai Junan, and any changes to the specific regulations will be communicated to investors [3]. - Investors are encouraged to read the fund's legal documents, including the fund contract and prospectus, for detailed information about the funds [3]. Group 3 - Contact channels for inquiries include Guotai Junan's customer service phone number and website, as well as the company's customer service phone number and website [4].
达诚基金管理有限公司关于新增国泰海通证券股份有限公司为旗下开放式基金代销机构并参加其费率优惠活动的公告