关于调整中信建投智多鑫货币市场基金管理费适用费率的公告
Group 1 - The fund manager has the right to adjust management fees based on the fund's operational conditions, as the estimated net income and annualized yield may fluctuate due to market volatility [1] - The fund invests in money market instruments, and the estimated net income per ten thousand shares and the seven-day annualized yield may vary [1] Group 2 - Investors can obtain relevant information through the fund manager, CITIC Construction Investment Fund Management Co., Ltd., and the sales institution, CITIC Construction Investment Securities Co., Ltd. [3]