中信建投价值增长混合型集合资产 管理计划管理人变更审计报告提示性公 告
Core Points - The CITIC Securities Value Growth Mixed Asset Management Plan will be re-registered as the CITIC Securities Value Growth Mixed Securities Investment Fund starting from September 22, 2025 [1] - The management of the asset management plan will change from CITIC Securities Co., Ltd. to its wholly-owned subsidiary, CITIC Securities Fund Management Co., Ltd. [1] - The full audit report regarding the change of management will be disclosed on the company's website and the China Securities Regulatory Commission's fund electronic disclosure website on October 24, 2025 [1] - Investors can contact the company's customer service for any inquiries [1]