

Group 1 - The core announcement is about the change of registration from "CITIC Construction Investment Value Growth Mixed Asset Management Plan" to "CITIC Construction Investment Value Growth Mixed Securities Investment Fund" effective from September 22, 2025 [2][14] - The product manager has changed from "CITIC Construction Investment Securities Co., Ltd." to "CITIC Construction Investment Fund Management Co., Ltd." [3][13] - The product code has been updated, with A class changing from 970016 to 025231 and C class from 970017 to 025232 [4] Group 2 - The product's abbreviated name has changed from "CITIC Construction Investment Value Growth" to "CITIC Construction Investment Value Growth Mixed" [5] - The fund manager has been updated from Zhang Yan to Leng Wenpeng [6] - The product type has shifted from "Mixed Asset Management Plan" to "Mixed Securities Investment Fund" [7] Group 3 - The duration of the product has changed from a fixed term ending on September 30, 2025, to an indefinite term [8] - The sales service fee rate for C class shares has been reduced from 0.80% to 0.60% annually [9] - The auditing firm has changed from KPMG Huazhen to Ernst & Young Huaming [10] Group 4 - The changes were made in accordance with relevant laws and regulations, and the management change does not require a meeting of the fund holders [12][13] - The new fund contract will take effect from the announcement date, and the previous asset management plan contract will be invalidated [14] - The fund management company will announce the specific arrangements for daily subscription and redemption services [15]