Fund Overview - The fund is named "浦银安盛港股通消费混合型发起式证券投资基金" and is a mixed-type open-ended fund [9] - The fund will be publicly offered from November 17, 2025, to November 21, 2025 [5][17] - The fund's initial share value is set at 1.00 RMB [9] Fund Management and Custody - The fund is managed by浦银安盛基金管理有限公司 and the custodian is 招商银行股份有限公司 [1][65] Target Investors - The fund is available to individual investors, institutional investors, qualified foreign investors, and other investors permitted by laws and regulations [10][17] Subscription Details - The minimum subscription amount for the electronic direct sales channel is 0.1 RMB, while for direct sales institutions, it is 10,000 RMB [25][4] - Investors can subscribe multiple times during the fundraising period, but once accepted, subscription applications cannot be revoked [26][25] Fund Investment Strategy - The fund primarily invests in stocks eligible for the Hong Kong Stock Connect, focusing on consumer-related stocks while aiming for returns that exceed the performance benchmark [11] Sales Channels - The fund will be sold through direct sales centers, electronic direct sales, and other sales institutions [12][13] - The sales period may be adjusted based on subscription conditions, but cannot exceed the legal fundraising period [17] Fund Contract and Effectiveness - The fund contract will become effective after meeting the necessary conditions, including a minimum subscription amount of 10 million RMB from the initiators [17][60] - If the fundraising conditions are not met by the end of the period, the fund contract will not take effect, and the raised funds will be returned to investors [18][60]
浦银安盛港股通消费混合型发起式证券投资基金基金份额发售公告