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招商基金管理有限公司旗下部分基金增加东莞证券股份有限公司为场内申购赎回代办券商的公告
Shang Hai Zheng Quan Bao·2025-09-04 18:38

Group 1 - The company,招商基金管理有限公司, has signed a fund sales agreement with 东莞证券股份有限公司, effective from September 5, 2025, to include 东莞证券 as a broker for on-site subscription and redemption of specific funds [1][4]. - The announcement indicates that the fund management will officially begin managing the 招商均衡优选混合型证券投资基金 from the effective date of the fund contract [4]. - The fund manager's senior management and heads of investment and research departments hold between 100,000 to 500,000 units of the fund, while the fund manager holds over 1 million units [5]. Group 2 - The company will bear the costs related to information disclosure, legal fees, and accounting fees incurred during the fund-raising period, without charging these expenses to the fund assets [6]. - Investors can confirm and print transaction confirmation slips at the sales institution's outlets or check transaction confirmation status through the company's website or customer service hotline [6].