安信基金管理有限责任公司关于安信臻享三个月定期开放债券型证券投资基金2025年度第三次 开放申购、赎回和转换业务的公告

Group 1 - The fund "Anxin Zhenxiang Three-Month Regular Open Bond" will have an open period from October 16, 2025, to November 12, 2025, during which subscription, redemption, and conversion services can be processed [1][33] - The fund will not open regular fixed investment services during this period [1][33] - The fund management company will announce any changes to the open days and times based on legal regulations or special circumstances [1][33] Group 2 - The minimum initial subscription amount through direct sales is RMB 50,000, while additional subscriptions can be as low as RMB 10,000 [3] - For online direct sales, the minimum subscription amount is RMB 1 for both initial and additional subscriptions [3] - There is no upper limit on the total subscription amount for individual investors, but no single investor can hold more than 50% of the total fund shares [4] Group 3 - The fund will charge a subscription fee at the time of subscription, which will be borne by the investors [6][9] - Different subscription fee rates apply to pension clients compared to other investors [7][9] - The fund management company may adjust subscription limits and fees as per market conditions and will announce such changes in advance [10][31] Group 4 - Each redemption request must be for at least one share, and if the remaining balance falls below one share, the entire balance must be redeemed [11] - Redemption fees will be charged based on the duration of holding, with 100% of the fee for holdings of less than 7 days going to the fund assets [12] - The fund management company can adjust redemption limits and fees as necessary, with prior announcement [13][31] Group 5 - Fund conversion fees will be based on the redemption fees of the outgoing fund and the subscription fees of the incoming fund [14][18] - The conversion process requires that both funds involved are managed by the same fund management company and registered with the same registrar [21] - Investors must submit conversion requests during the business hours of the fund management company and have sufficient shares available for conversion [22][23] Group 6 - The fund does not currently offer regular fixed investment services [28] - The fund management company has specified various sales institutions for fund transactions, including direct sales and other financial institutions [29][30] - The fund's net asset value and accumulated net asset value will be disclosed on the following day after each open day [31]